BALANCED STRATEGY FUND CLASS C(RBLCX) USD 8.9
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.26%USD 0.379USD0.21652022-12-20
USD0.01412022-10-05
USD0.14882022-04-05
202118.13%USD 1.614USD1.49592021-12-21
USD0.00462021-10-05
USD0.05822021-07-06
USD0.05532021-04-06
20201.20%USD 0.107USD0.0342020-12-22
USD0.01722020-07-06
USD0.05542020-04-03
20194.08%USD 0.363USD0.36322019-12-20
20186.30%USD 0.561USD0.52442018-12-21
USD0.0062018-10-03
USD0.03062018-07-05
20176.91%USD 0.615USD0.60772017-12-22
USD0.00692017-04-05
20169.01%USD 0.802USD0.78182016-12-21
USD0.00022016-10-05
USD0.02012016-07-06
201511.83%USD 1.053USD1.04352015-12-23
USD0.00722015-07-07
USD0.00112015-04-07
USD0.0012015-04-06
20142.67%USD 0.238USD0.23722014-12-26
USD0.00032014-04-04
20131.70%USD 0.152USD0.14212013-12-30
USD0.00452013-07-08
USD0.0052013-07-05
20121.82%USD 0.162USD0.1512012-12-28
USD0.01082012-04-05
20111.54%USD 0.137USD0.12652011-12-29
USD0.01042011-07-07
20102.94%USD 0.261USD0.21912010-12-22
USD0.00122010-10-06
USD0.0012010-10-05
USD0.022010-07-07
USD0.022010-04-07
20092.29%USD 0.204USD0.10522009-12-23
USD0.01252009-10-06
USD0.03272009-07-07
USD0.05332009-04-06
20087.42%USD 0.66USD0.44422008-12-24
USD0.0832008-12-23
USD0.0472008-10-06
USD0.03812008-07-07
USD0.0482008-04-04
200713.11%USD 1.167USD0.72972007-12-20
USD0.3332007-12-19
USD0.02762007-10-04
USD0.04092007-07-06
USD0.03582007-04-05
20068.89%USD 0.791USD0.46292006-12-20
USD0.222006-12-19
USD0.03342006-10-05
USD0.03242006-07-07
USD0.04222006-04-06
20052.98%USD 0.265USD0.1382005-12-22
USD0.072005-12-21
USD0.01962005-10-06
USD0.02012005-07-07
USD0.01712005-04-05
20042.79%USD 0.248USD0.11812004-12-23
USD0.0912004-12-22
USD0.00492004-10-06
USD0.03412004-04-05
20031.86%USD 0.166USD0.12232003-12-29
USD0.01832003-10-06
USD0.00382003-07-07
USD0.0042003-07-03
USD0.01742003-04-04
20021.71%USD 0.152USD0.08262002-12-27
USD0.02452002-10-04
USD0.02642002-07-04
USD0.01852002-04-04
20011.98%USD 0.177USD0.06152001-12-27
USD0.042001-10-02
USD0.0392001-07-03
USD0.0362001-04-03
20003.56%USD 0.317USD0.0822000-12-27
USD0.0552000-10-03
USD0.0492000-07-05
USD0.0592000-04-04
USD0.0722000-02-23