Payden Core Bond Fund SI Class(PYCSX) USD 9.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.59%USD 0.054USD0.02662023-02-27
USD0.02752023-01-30
20223.25%USD 0.3USD0.02842022-12-29
USD0.0282022-11-29
USD0.02782022-10-28
USD0.0232022-09-29
USD0.02592022-08-30
USD0.02542022-07-28
USD0.02482022-06-29
USD0.02572022-05-27
USD0.02352022-04-28
USD0.02392022-03-30
USD0.02172022-02-25
USD0.0222022-01-28
20212.93%USD 0.27USD0.0212021-12-30
USD0.00842021-12-23
USD0.02172021-11-29
USD0.02082021-10-28
USD0.0212021-09-29
USD0.02282021-08-30
USD0.02022021-07-29
USD0.02512021-06-29
USD0.02322021-05-27
USD0.02432021-04-29
USD0.02112021-03-30
USD0.01972021-02-25
USD0.02092021-01-28
20204.92%USD 0.453USD0.02032020-12-30
USD0.17182020-12-23
USD0.022020-11-27
USD0.01442020-10-29
USD0.02412020-09-29
USD0.02572020-08-28
USD0.02482020-07-30
USD0.02292020-06-29
USD0.02382020-05-28
USD0.0262020-04-29
USD0.02882020-03-30
USD0.02412020-02-27
USD0.02652020-01-30
20193.71%USD 0.342USD0.02662019-12-30
USD0.02652019-11-27
USD0.02662019-10-30
USD0.02682019-09-27
USD0.02882019-08-29
USD0.02892019-07-30
USD0.02952019-06-27
USD0.02962019-05-30
USD0.02952019-04-29
USD0.03042019-03-28
USD0.04332019-02-27
USD0.01522019-01-30
20183.79%USD 0.35USD0.03252018-12-28
USD0.03122018-11-29
USD0.02942018-10-30
USD0.02832018-09-27
USD0.03412018-08-30
USD0.02332018-07-30
USD0.02782018-06-28
USD0.02852018-05-30
USD0.02882018-04-27
USD0.02892018-03-28
USD0.02722018-02-27
USD0.02982018-01-30