PAYDEN EMERGING MARKETS BOND FUND PAYDEN EMERGING MARKETS BOND FUND (ADVISER CLASS)(PYEWX) USD 9.86
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.48%USD 0.146USD0.04972023-03-30
USD0.04562023-02-27
USD0.05052023-01-30
20227.49%USD 0.739USD0.19732022-12-29
USD0.05382022-11-29
USD0.05452022-10-28
USD0.04032022-09-29
USD0.04832022-08-30
USD0.04782022-07-28
USD0.03492022-06-29
USD0.0532022-05-27
USD0.05132022-04-28
USD0.04982022-03-30
USD0.05042022-02-25
USD0.05752022-01-28
20217.11%USD 0.701USD0.07612021-12-30
USD0.05722021-11-29
USD0.06462021-10-28
USD0.06362021-09-29
USD0.05532021-08-30
USD0.05822021-07-29
USD0.05262021-06-29
USD0.05612021-05-27
USD0.06032021-04-29
USD0.05332021-03-30
USD0.05122021-02-25
USD0.05252021-01-28
20206.24%USD 0.615USD0.05442020-12-30
USD0.05612020-11-27
USD0.05372020-10-29
USD0.05192020-09-29
USD0.05722020-08-28
USD0.0452020-07-30
USD0.03162020-06-29
USD0.04242020-05-28
USD0.04352020-04-29
USD0.06562020-03-30
USD0.05142020-02-27
USD0.06212020-01-30
20197.25%USD 0.715USD0.06132019-12-30
USD0.05462019-11-27
USD0.05762019-10-30
USD0.05562019-09-27
USD0.06012019-08-29
USD0.06042019-07-30
USD0.05992019-06-27
USD0.05982019-05-30
USD0.05862019-04-29
USD0.07182019-03-28
USD0.05442019-02-27
USD0.0612019-01-30
20187.49%USD 0.738USD0.07022018-12-28
USD0.05882018-11-29
USD0.06072018-10-30
USD0.06262018-09-27
USD0.06192018-08-30
USD0.06432018-07-30
USD0.06012018-06-28
USD0.06332018-05-30
USD0.06342018-04-27
USD0.06182018-03-28
USD0.05192018-02-27
USD0.05922018-01-30
20177.45%USD 0.735USD0.04992017-12-28
USD0.06472017-11-29
USD0.07332017-10-30
USD0.06032017-09-28
USD0.06142017-08-30
USD0.06082017-07-28
USD0.05972017-06-29
USD0.07412017-05-30
USD0.05842017-04-27
USD0.06072017-03-30
USD0.05712017-02-27
USD0.05462017-01-30
20167.40%USD 0.73USD0.08042016-12-29
USD0.04812016-11-29
USD0.06262016-10-28
USD0.0782016-09-29
USD0.06812016-08-30
USD0.05762016-07-28
USD0.05862016-06-29
USD0.05772016-05-27
USD0.0492016-04-28
USD0.05612016-03-30
USD0.04952016-02-26
USD0.06442016-01-28
20156.46%USD 0.637USD0.072015-12-30
USD0.05232015-11-27
USD0.04752015-10-29
USD0.05162015-09-29
USD0.05172015-08-28
USD0.05642015-07-30
USD0.05192015-06-29
USD0.05042015-05-28
USD0.05462015-04-29
USD0.05022015-03-30
USD0.05052015-02-26
USD0.05022015-01-29
20146.98%USD 0.688USD0.06222014-12-30
USD0.05022014-11-26
USD0.06172014-10-30
USD0.05222014-09-29
USD0.05892014-08-28
USD0.05912014-07-30
USD0.05892014-06-27
USD0.05952014-05-29
USD0.05952014-04-29
USD0.05762014-03-28
USD0.05412014-02-27
USD0.05412014-01-30
20138.30%USD 0.818USD0.0572013-12-30
USD0.04982013-12-24
USD0.06262013-11-27
USD0.06192013-10-30
USD0.06232013-09-27
USD0.06392013-08-29
USD0.0652013-07-30
USD0.06452013-06-27
USD0.06872013-05-30
USD0.06662013-04-29
USD0.06692013-03-27
USD0.06712013-02-27
USD0.06192013-01-30
201210.77%USD 1.062USD0.08152012-12-28
USD0.24672012-12-24
USD0.05942012-11-29
USD0.05682012-10-31
USD0.05712012-09-27
USD0.06672012-08-30
USD0.06662012-07-30
USD0.06672012-06-28
USD0.07212012-05-30
USD0.07222012-04-27
USD0.0722012-03-29
USD0.07222012-02-28
USD0.07212012-01-30
201111.36%USD 1.12USD0.07192011-12-29
USD0.28992011-12-23
USD0.07752011-11-29
USD0.07182011-10-28
USD0.07692011-09-29
USD0.07692011-08-30
USD0.07772011-07-28
USD0.06692011-06-29
USD0.06722011-05-27
USD0.06222011-04-28
USD0.06172011-03-30
USD0.05732011-02-25
USD0.06212011-01-28
20107.46%USD 0.736USD0.06672010-12-30
USD0.05782010-11-29
USD0.05732010-10-28
USD0.05672010-09-29
USD0.05712010-08-30
USD0.042010-07-29
USD0.05722010-06-29
USD0.07822010-05-27
USD0.0882010-04-29
USD0.08912010-03-30
USD0.04262010-02-25
USD0.0452010-01-28
20090.70%USD 0.07USD0.06952009-12-29