CONSERVATIVE STRATEGY FUND CLASS A(RCLAX) USD 8.43
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.10%USD 0.009USD0.00852023-04-05
20222.21%USD 0.187USD0.13052022-12-20
USD0.03572022-10-05
USD0.02032022-07-06
20217.80%USD 0.657USD0.65732021-12-21
20202.49%USD 0.21USD0.19622020-12-22
USD0.01352020-10-05
20194.04%USD 0.34USD0.26192019-12-20
USD0.0332019-10-03
USD0.04232019-07-03
USD0.00312019-04-03
20183.72%USD 0.314USD0.18872018-12-21
USD0.0952018-10-03
USD0.02982018-07-05
20173.63%USD 0.306USD0.23622017-12-22
USD0.0182017-10-04
USD0.0212017-07-06
USD0.03042017-04-05
20165.57%USD 0.47USD0.35172016-12-21
USD0.03332016-10-05
USD0.05172016-07-06
USD0.03322016-04-05
201512.78%USD 1.077USD0.97952015-12-23
USD0.03392015-10-06
USD0.03512015-07-07
USD0.02872015-04-07
20147.91%USD 0.666USD0.42572014-12-29
USD0.1742014-12-26
USD0.01672014-10-06
USD0.02682014-07-07
USD0.02322014-04-04
20135.09%USD 0.429USD0.28632013-12-30
USD0.0682013-12-27
USD0.00662013-10-04
USD0.0072013-10-03
USD0.03272013-07-08
USD0.02872013-04-04
20126.50%USD 0.548USD0.2262012-12-28
USD0.2052012-12-27
USD0.02242012-10-04
USD0.04482012-07-06
USD0.04992012-04-05
20112.85%USD 0.24USD0.13252011-12-29
USD0.04312011-10-06
USD0.05382011-07-07
USD0.01072011-04-06
20105.68%USD 0.479USD0.27722010-12-22
USD0.04912010-10-06
USD0.06072010-07-07
USD0.0292010-04-30
USD0.06262010-04-07
20094.63%USD 0.391USD0.11632009-12-23
USD0.07132009-10-06
USD0.08812009-07-07
USD0.11492009-04-06
20087.36%USD 0.62USD0.1882008-12-24
USD0.1422008-12-23
USD0.08432008-10-06
USD0.09482008-07-07
USD0.11112008-04-04
20079.37%USD 0.79USD0.31372007-12-20
USD0.1912007-12-19
USD0.09412007-10-04
USD0.10282007-07-06
USD0.08842007-04-05
20069.50%USD 0.801USD0.3782006-12-20
USD0.1392006-12-19
USD0.08842006-10-05
USD0.08332006-07-07
USD0.11242006-04-06
20054.58%USD 0.386USD0.13122005-12-22
USD0.0652005-12-21
USD0.06442005-10-06
USD0.06032005-07-07
USD0.06492005-04-05
20043.30%USD 0.278USD0.09022004-12-23
USD0.0532004-12-22
USD0.04932004-10-06
USD0.01842004-07-07
USD0.06752004-04-05
20032.68%USD 0.226USD0.11162003-12-26
USD0.03052003-10-06
USD0.04842003-07-07
USD0.03572003-04-04