STOCKSPLUS TOTAL RETURN FUND A(PTOAX) USD 9.39
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.10%USD 0.385USD0.012972022-12-27
USD0.233552022-12-07
USD0.014362022-09-08
USD0.014532022-06-09
USD0.109582022-03-10
202140.60%USD 3.812USD0.077282021-12-28
USD2.586072021-12-08
USD0.553872021-09-09
USD0.310612021-06-10
USD0.284512021-03-11
20206.33%USD 0.594USD0.021472020-12-28
USD0.123322020-12-09
USD0.169192020-09-10
USD0.094382020-06-11
USD0.186042020-03-12
20199.65%USD 0.906USD0.118012019-12-26
USD0.277112019-12-11
USD0.250562019-09-12
USD0.180052019-06-13
USD0.08022019-03-14
201810.69%USD 1.004USD0.051552018-12-26
USD0.895022018-12-12
USD0.019872018-09-13
USD0.028742018-06-14
USD0.008992018-03-15
201720.04%USD 1.882USD0.187982017-12-27
USD1.588832017-12-13
USD0.019392017-09-14
USD0.043542017-06-15
USD0.041862017-03-16
20160.01%USD 0.001USD0.001162016-12-28
20155.12%USD 0.481USD0.079332015-12-29
USD0.364092015-12-16
USD0.022612015-09-17
USD0.014542015-06-18
201421.03%USD 1.974USD0.32732014-12-29
USD1.640652014-12-10
USD0.00442014-09-18
USD0.002072014-06-19
201315.22%USD 1.429USD0.190832013-12-27
USD1.212262013-12-11
USD0.01862013-09-19
USD0.007482013-06-20
20127.43%USD 0.698USD0.411792012-12-27
USD0.010942012-12-12
USD0.072792012-09-20
USD0.076862012-06-21
USD0.12562012-03-22
20112.48%USD 0.232USD0.141352011-12-28
USD0.030332011-09-15
USD0.060792011-06-16
20105.70%USD 0.535USD0.358072010-12-31
USD0.062010-09-16
USD0.061992010-06-17
USD0.0282010-04-30
USD0.027022010-03-18
200915.86%USD 1.49USD1.489682009-12-30
20086.07%USD 0.57USD0.443872008-12-30
USD0.081382008-09-18
USD0.043042008-06-19
USD0.00172008-03-20
200718.15%USD 1.704USD0.445822007-12-27
USD1.075532007-12-12
USD0.139332007-09-20
USD0.021892007-06-21
USD0.021612007-03-22
200613.30%USD 1.249USD0.29112006-12-27
USD0.748572006-12-13
USD0.091222006-09-21
USD0.056292006-06-22
USD0.061462006-03-23
20056.37%USD 0.598USD0.415762005-12-29
USD0.096422005-09-22
USD0.060652005-06-23
USD0.024942005-03-24
20045.38%USD 0.505USD0.079962004-12-29
USD0.41782004-12-13
USD1.0E-52004-09-16
USD0.00722004-06-17
USD1.0E-52004-03-18
20034.40%USD 0.413USD0.008322003-12-30
USD0.387412003-12-10
USD0.017242003-09-18