MIDCAP VALUE FUND I INSTITUTIONAL CLASS(PVMIX) USD 15.68
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.00%USD 1.097USD0.22182022-12-21
USD0.87532022-12-20
202112.82%USD 2.01USD0.21382021-12-21
USD1.7962021-12-20
20201.32%USD 0.207USD0.20652020-12-21
20194.66%USD 0.731USD0.16142019-12-20
USD0.56962019-12-19
201810.01%USD 1.569USD0.13282018-12-20
USD1.43642018-12-19
20176.65%USD 1.043USD0.112017-12-21
USD0.93272017-12-20
20161.42%USD 0.222USD0.22212016-12-22
20158.84%USD 1.387USD0.10132015-12-21
USD1.28552015-12-17
201413.80%USD 2.163USD0.08222014-12-19
USD2.0812014-12-17
201327.00%USD 4.233USD0.09582013-12-20
USD4.13752013-12-18
20121.17%USD 0.183USD0.18272012-12-21
20110.55%USD 0.086USD0.08592011-12-21
20100.96%USD 0.151USD0.15112010-12-21
20090.64%USD 0.1USD0.09982009-12-21
20080.79%USD 0.124USD0.12352008-12-19
200710.80%USD 1.694USD0.10142007-12-31
USD1.59222007-12-06
20064.92%USD 0.772USD0.092006-12-29
USD0.68172006-12-06
20057.50%USD 1.176USD0.0552005-12-30
USD1.12112005-12-06
20041.16%USD 0.182USD0.04712004-12-23
USD0.13482004-12-06