QCI BALANCED FUND INSTITUTIONAL CLASS SHARES(QCIBX) USD 7.4429
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202247.29%USD 3.52USD3.49852022-07-28
USD0.02152022-06-29
20211.40%USD 0.104USD0.042021-12-30
USD0.016622021-09-29
USD0.011962021-06-29
USD0.035482021-03-30
202010.49%USD 0.781USD0.700562020-12-17
USD0.011412020-09-29
USD0.032742020-06-29
USD0.035922020-03-30
20194.44%USD 0.33USD0.135132019-12-30
USD0.128292019-09-30
USD0.043562019-06-28
USD0.023422019-03-29
201816.09%USD 1.198USD0.047972018-12-31
USD1.06372018-12-17
USD0.036232018-09-28
USD0.030612018-06-29
USD0.019112018-03-29
20171.48%USD 0.11USD0.035852017-12-29
USD0.026482017-09-29
USD0.023412017-06-30
USD0.024512017-03-31
20161.38%USD 0.103USD0.023592016-12-30
USD0.023432016-09-30
USD0.025562016-06-30
USD0.030172016-03-31
20151.70%USD 0.126USD0.029782015-12-31
USD0.028022015-09-30
USD0.025212015-06-30
USD0.04342015-03-31
20140.88%USD 0.066USD0.027062014-12-31
USD0.038562014-12-16