PRUDENTIAL GLOBAL REAL ESTATE FUND CLASS A(PURAX) USD 18.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.44%USD 0.079USD0.078392023-04-14
USD0.000842023-01-20
20221.75%USD 0.316USD0.059562022-12-16
USD0.138562022-10-14
USD0.075172022-07-15
USD0.042562022-04-18
202122.61%USD 4.072USD3.892892021-12-17
USD0.050062021-10-15
USD0.113832021-07-16
USD0.015042021-04-16
20201.62%USD 0.292USD0.087392020-12-18
USD0.064572020-10-16
USD0.088922020-07-17
USD0.051242020-04-17
201922.06%USD 3.973USD3.751032019-12-19
USD0.04472019-10-18
USD0.12842019-07-19
USD0.04932019-04-12
20185.09%USD 0.917USD0.64052018-12-19
USD0.05192018-10-19
USD0.14412018-07-20
USD0.08072018-04-13
20175.90%USD 1.063USD0.84552017-12-19
USD0.072017-10-20
USD0.14382017-07-14
USD0.0022017-04-17
USD0.00152017-01-20
20165.35%USD 0.963USD0.61862016-12-09
USD0.0892016-10-21
USD0.1172016-07-22
USD0.13882016-04-15
20153.99%USD 0.719USD0.42762015-12-16
USD0.0532015-10-16
USD0.23682015-07-17
USD0.00192015-03-20
20143.44%USD 0.62USD0.49012014-12-19
USD0.11052014-09-19
USD0.01932014-06-20
20132.29%USD 0.413USD0.11012013-12-20
USD0.29822013-06-21
USD0.00462013-03-22
20123.52%USD 0.634USD0.48442012-12-21
USD0.07042012-09-21
USD0.06612012-06-22
USD0.0132012-03-23
20111.82%USD 0.327USD0.08962011-12-16
USD0.09462011-09-16
USD0.11542011-06-17
USD0.02752011-03-25
20102.40%USD 0.433USD0.43252010-12-20
20093.58%USD 0.644USD0.6442009-12-17
20081.20%USD 0.217USD0.2172008-11-24
20073.48%USD 0.626USD0.6262007-11-30
20062.44%USD 0.439USD0.1242006-12-13
USD0.1212006-10-12
USD0.1332006-07-13
USD0.0612006-04-12
20051.56%USD 0.281USD0.0732005-12-07
USD0.0762005-10-12
USD0.0662005-07-13
USD0.0662005-04-14
20041.22%USD 0.22USD0.062004-12-08
USD0.062004-10-14
USD0.072004-07-14
USD0.032004-04-12
20031.20%USD 0.216USD0.0722003-10-09
USD0.0732003-07-10
USD0.0712003-04-21
20021.43%USD 0.258USD0.0862002-12-05
USD0.0862002-10-10
USD0.0862002-07-11
20011.94%USD 0.349USD0.1122001-12-13
USD0.1022001-10-11
USD0.0752001-07-12
USD0.062001-04-12
20001.02%USD 0.184USD0.062000-12-13
USD0.062000-10-11
USD0.0322000-07-13
USD0.0322000-04-12