ROBINSON OPPORTUNISTIC INCOME FUND CLASS C SHARES(RBNCX) USD 8.93
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.52%USD 0.046USD0.017082023-03-17
USD0.017152023-02-16
USD0.012172023-01-17
20221.55%USD 0.138USD0.018212022-11-18
USD0.014252022-10-19
USD0.014732022-09-16
USD0.012572022-08-18
USD0.013982022-07-18
USD0.01442022-06-17
USD0.009232022-05-18
USD0.009122022-04-19
USD0.007032022-03-18
USD0.021252022-02-17
USD0.003582022-01-19
20212.89%USD 0.258USD0.02512021-12-29
USD0.005122021-11-19
USD0.015462021-10-19
USD0.013772021-09-17
USD0.016992021-08-19
USD0.023662021-07-19
USD0.02632021-06-18
USD0.02022021-05-19
USD0.038442021-04-19
USD0.031892021-03-19
USD0.033442021-02-19
USD0.007782021-01-19
20205.89%USD 0.526USD0.080652020-12-30
USD0.037222020-11-19
USD0.035752020-10-19
USD0.043192020-09-17
USD0.032882020-08-19
USD0.039142020-07-17
USD0.047052020-06-18
USD0.04162020-05-19
USD0.055982020-04-17
USD0.04972020-03-19
USD0.040942020-02-19
USD0.021682020-01-17
20195.77%USD 0.515USD0.059662019-12-30
USD0.040352019-11-18
USD0.040032019-10-16
USD0.04312019-09-18
USD0.038492019-08-16
USD0.042019-07-18
USD0.041872019-06-18
USD0.039912019-05-16
USD0.041972019-04-17
USD0.043712019-03-18
USD0.043012019-02-19
USD0.043022019-01-17
20189.24%USD 0.825USD0.34942018-12-28
USD0.043612018-11-16
USD0.042182018-10-16
USD0.045752018-09-18
USD0.043732018-08-16
USD0.042522018-07-18
USD0.047222018-06-18
USD0.04322018-05-16
USD0.044812018-04-17
USD0.048342018-03-16
USD0.04182018-02-16
USD0.032312018-01-17
20176.07%USD 0.542USD0.055752017-12-28
USD0.04632017-11-15
USD0.04562017-10-16
USD0.05032017-09-15
USD0.04012017-08-15
USD0.04242017-07-17
USD0.04412017-06-15
USD0.04292017-05-15
USD0.04332017-04-17
USD0.05182017-03-15
USD0.0452017-02-15
USD0.03482017-01-17
20167.97%USD 0.712USD0.059542016-12-29
USD0.05182016-11-15
USD0.06022016-10-26
USD0.0622016-09-15
USD0.05652016-08-15
USD0.06332016-07-15
USD0.06412016-06-15
USD0.0632016-05-16
USD0.05852016-04-15
USD0.07992016-03-15
USD0.06182016-02-16
USD0.03132016-01-15