ROBINSON OPPORTUNISTIC INCOME FUND CLASS A SHARES(RBNAX) USD 8.95
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.70%USD 0.063USD0.022742023-03-17
USD0.022422023-02-16
USD0.017842023-01-17
20222.26%USD 0.202USD0.023612022-11-18
USD0.020122022-10-19
USD0.020132022-09-16
USD0.018452022-08-18
USD0.019672022-07-18
USD0.020262022-06-17
USD0.015452022-05-18
USD0.014942022-04-19
USD0.013012022-03-18
USD0.026772022-02-17
USD0.009742022-01-19
20213.69%USD 0.33USD0.032262021-12-29
USD0.011122021-11-19
USD0.021572021-10-19
USD0.01972021-09-17
USD0.023072021-08-19
USD0.029792021-07-19
USD0.032392021-06-18
USD0.026172021-05-19
USD0.044292021-04-19
USD0.037652021-03-19
USD0.038732021-02-19
USD0.013592021-01-19
20206.62%USD 0.592USD0.086262020-12-30
USD0.042492020-11-19
USD0.041172020-10-19
USD0.048292020-09-17
USD0.038332020-08-19
USD0.04442020-07-17
USD0.052482020-06-18
USD0.046772020-05-19
USD0.060882020-04-17
USD0.055562020-03-19
USD0.04722020-02-19
USD0.028282020-01-17
20196.60%USD 0.591USD0.065122019-12-30
USD0.046452019-11-18
USD0.046512019-10-16
USD0.049422019-09-18
USD0.044922019-08-16
USD0.046952019-07-18
USD0.048152019-06-18
USD0.046492019-05-16
USD0.048682019-04-17
USD0.050172019-03-18
USD0.048832019-02-19
USD0.049252019-01-17
201810.11%USD 0.905USD0.355722018-12-28
USD0.049982018-11-16
USD0.048912018-10-16
USD0.052332018-09-18
USD0.050482018-08-16
USD0.049262018-07-18
USD0.053832018-06-18
USD0.050282018-05-16
USD0.051452018-04-17
USD0.054942018-03-16
USD0.047892018-02-16
USD0.039952018-01-17
20176.97%USD 0.623USD0.06232017-12-28
USD0.0532017-11-15
USD0.05272017-10-16
USD0.05722017-09-15
USD0.04772017-08-15
USD0.04952017-07-17
USD0.05072017-06-15
USD0.04972017-05-15
USD0.05022017-04-17
USD0.05862017-03-15
USD0.05012017-02-15
USD0.04172017-01-17
20168.70%USD 0.779USD0.066412016-12-29
USD0.05642016-11-15
USD0.0672016-10-26
USD0.06772016-09-15
USD0.06282016-08-15
USD0.06962016-07-15
USD0.0712016-06-15
USD0.06862016-05-16
USD0.0652016-04-15
USD0.07982016-03-15
USD0.0672016-02-16
USD0.03752016-01-15