PAYDEN EMERGING MARKETS BOND FUND PAYDEN EMERGING MARKETS BOND FUND (SI CLASS)(PYEIX) USD 9.83
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.57%USD 0.154USD0.05242023-03-30
USD0.04882023-02-27
USD0.05312023-01-30
20227.85%USD 0.771USD0.19992022-12-29
USD0.05592022-11-29
USD0.05662022-10-28
USD0.04492022-09-29
USD0.05042022-08-30
USD0.05022022-07-28
USD0.03722022-06-29
USD0.05532022-05-27
USD0.05292022-04-28
USD0.05342022-03-30
USD0.05382022-02-25
USD0.06092022-01-28
20217.50%USD 0.738USD0.07922021-12-30
USD0.06142021-11-29
USD0.06692021-10-28
USD0.06642021-09-29
USD0.0582021-08-30
USD0.06142021-07-29
USD0.05572021-06-29
USD0.0592021-05-27
USD0.0642021-04-29
USD0.05652021-03-30
USD0.0542021-02-25
USD0.05522021-01-28
20206.65%USD 0.654USD0.05772020-12-30
USD0.05932020-11-27
USD0.05562020-10-29
USD0.0552020-09-29
USD0.06052020-08-28
USD0.04872020-07-30
USD0.03512020-06-29
USD0.04592020-05-28
USD0.04712020-04-29
USD0.06912020-03-30
USD0.05452020-02-27
USD0.06552020-01-30
20197.68%USD 0.755USD0.06482019-12-30
USD0.05792019-11-27
USD0.06112019-10-30
USD0.05892019-09-27
USD0.06322019-08-29
USD0.06332019-07-30
USD0.06272019-06-27
USD0.06332019-05-30
USD0.06182019-04-29
USD0.07552019-03-28
USD0.05752019-02-27
USD0.06492019-01-30
20187.92%USD 0.779USD0.07272018-12-28
USD0.06152018-11-29
USD0.0632018-10-30
USD0.06582018-09-27
USD0.06612018-08-30
USD0.06812018-07-30
USD0.06422018-06-28
USD0.06712018-05-30
USD0.06732018-04-27
USD0.06562018-03-28
USD0.0552018-02-27
USD0.06252018-01-30
20177.89%USD 0.776USD0.05312017-12-28
USD0.06772017-11-29
USD0.07662017-10-30
USD0.06372017-09-28
USD0.06552017-08-30
USD0.06442017-07-28
USD0.06362017-06-29
USD0.07752017-05-30
USD0.06162017-04-27
USD0.06442017-03-30
USD0.05992017-02-27
USD0.05772017-01-30
20167.76%USD 0.762USD0.08382016-12-29
USD0.05092016-11-29
USD0.06572016-10-28
USD0.08062016-09-29
USD0.07032016-08-30
USD0.06042016-07-28
USD0.06072016-06-29
USD0.06052016-05-27
USD0.05222016-04-28
USD0.05672016-03-30
USD0.05292016-02-26
USD0.06772016-01-28
20156.90%USD 0.678USD0.07342015-12-30
USD0.05522015-11-27
USD0.05182015-10-29
USD0.05492015-09-29
USD0.05472015-08-28
USD0.05992015-07-30
USD0.05512015-06-29
USD0.05362015-05-28
USD0.05822015-04-29
USD0.05372015-03-30
USD0.05382015-02-26
USD0.05382015-01-29
20147.46%USD 0.734USD0.0662014-12-30
USD0.05312014-11-26
USD0.0642014-10-30
USD0.05842014-09-29
USD0.06252014-08-28
USD0.06252014-07-30
USD0.06152014-06-27
USD0.06252014-05-29
USD0.06232014-04-29
USD0.06082014-03-28
USD0.062014-02-27
USD0.062014-01-30
20138.84%USD 0.869USD0.06222013-12-30
USD0.04982013-12-24
USD0.06732013-11-27
USD0.06732013-10-30
USD0.06722013-09-27
USD0.06852013-08-29
USD0.06892013-07-30
USD0.0682013-06-27
USD0.07282013-05-30
USD0.07032013-04-29
USD0.07042013-03-27
USD0.07042013-02-27
USD0.06552013-01-30
20128.95%USD 0.879USD0.0852012-12-28
USD0.24672012-12-24
USD0.06272012-11-29
USD0.06172012-10-31
USD0.06042012-09-27
USD0.07062012-08-30
USD0.07062012-07-30
USD0.07082012-06-28
USD0.07562012-05-30
USD0.07522012-04-27