PAYDEN EMERGING MARKETS CORPORATE BOND FUND PAYDEN EMERGING MARKETS CORPORATE BOND FUND (SI CLASS)(PYCIX) USD 8.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.41%USD 0.12USD0.04312023-03-30
USD0.03452023-02-27
USD0.04212023-01-30
20224.98%USD 0.423USD0.03872022-12-29
USD0.03762022-11-29
USD0.03442022-10-28
USD0.03472022-09-29
USD0.03412022-08-30
USD0.02992022-07-28
USD0.03772022-06-29
USD0.03422022-05-27
USD0.03462022-04-28
USD0.03552022-03-30
USD0.0362022-02-25
USD0.03552022-01-28
20216.27%USD 0.533USD0.03882021-12-30
USD0.10312021-12-23
USD0.03112021-11-29
USD0.03592021-10-28
USD0.04342021-09-29
USD0.02912021-08-30
USD0.03232021-07-29
USD0.03642021-06-29
USD0.03682021-05-27
USD0.03962021-04-29
USD0.03392021-03-30
USD0.03232021-02-25
USD0.03992021-01-28
20205.03%USD 0.428USD0.03942020-12-30
USD0.03662020-11-27
USD0.0392020-10-29
USD0.03452020-09-29
USD0.02982020-08-28
USD0.02942020-07-30
USD0.03592020-06-29
USD0.0372020-05-28
USD0.03372020-04-29
USD0.03522020-03-30
USD0.03642020-02-27
USD0.04072020-01-30
20195.82%USD 0.495USD0.04432019-12-30
USD0.0382019-11-27
USD0.04152019-10-30
USD0.03562019-09-27
USD0.04342019-08-29
USD0.04292019-07-30
USD0.04092019-06-27
USD0.0462019-05-30
USD0.0412019-04-29
USD0.04232019-03-28
USD0.01422019-02-27
USD0.0652019-01-30
20185.83%USD 0.496USD0.04512018-12-28
USD0.03852018-11-29
USD0.04232018-10-30
USD0.042018-09-27
USD0.04052018-08-30
USD0.04082018-07-30
USD0.03922018-06-28
USD0.04382018-05-30
USD0.042018-04-27
USD0.04012018-03-28
USD0.03842018-02-27
USD0.04682018-01-30
20175.96%USD 0.507USD0.03912017-12-28
USD0.03272017-12-22
USD0.04032017-11-29
USD0.04212017-10-30
USD0.03952017-09-28
USD0.04082017-08-30
USD0.03912017-07-28
USD0.04012017-06-29
USD0.04342017-05-30
USD0.0392017-04-27
USD0.03972017-03-30
USD0.03682017-02-27
USD0.03412017-01-30
20164.97%USD 0.423USD0.04532016-12-29
USD0.02932016-11-29
USD0.03322016-10-28
USD0.03592016-09-29
USD0.03472016-08-30
USD0.03192016-07-28
USD0.03732016-06-29
USD0.03862016-05-27
USD0.03122016-04-28
USD0.03762016-03-30
USD0.03322016-02-26
USD0.03442016-01-28
20155.09%USD 0.432USD0.03632015-12-30
USD0.03212015-11-27
USD0.03532015-10-29
USD0.03432015-09-29
USD0.03242015-08-28
USD0.03772015-07-30
USD0.03552015-06-29
USD0.03492015-05-28
USD0.04242015-04-29
USD0.0392015-03-30
USD0.03672015-02-26
USD0.03572015-01-29
20147.48%USD 0.636USD0.04622014-12-30
USD0.17542014-12-23
USD0.03272014-11-26
USD0.0392014-10-30
USD0.03782014-09-29
USD0.0362014-08-28
USD0.04182014-07-30
USD0.03832014-06-27
USD0.04112014-05-29
USD0.03792014-04-29
USD0.03792014-03-28
USD0.0352014-02-27
USD0.0372014-01-30
20130.66%USD 0.056USD0.05612013-12-30