CONSERVATIVE STRATEGY FUND CLASS C(RCLCX) USD 8.19
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.79%USD 0.146USD0.11442022-12-20
USD0.02762022-10-05
USD0.00442022-07-06
20217.79%USD 0.638USD0.6382021-12-21
20202.16%USD 0.177USD0.17652020-12-22
20193.42%USD 0.28USD0.24182019-12-20
USD0.01432019-10-03
USD0.02412019-07-03
20183.14%USD 0.257USD0.16962018-12-21
USD0.0772018-10-03
USD0.01082018-07-05
20172.83%USD 0.232USD0.21672017-12-22
USD0.00272017-07-06
USD0.01232017-04-05
20164.84%USD 0.396USD0.33252016-12-21
USD0.01422016-10-05
USD0.03362016-07-06
USD0.01582016-04-05
201512.17%USD 0.997USD0.95882015-12-23
USD0.01362015-10-06
USD0.01482015-07-07
USD0.00942015-04-07
20146.92%USD 0.567USD0.40442014-12-29
USD0.1532014-12-26
USD0.00632014-07-07
USD0.0032014-04-04
20134.08%USD 0.334USD0.2652013-12-30
USD0.0472013-12-27
USD0.01282013-07-08
USD0.00912013-04-04
20125.37%USD 0.44USD0.20492012-12-28
USD0.1842012-12-27
USD0.00282012-10-04
USD0.0032012-10-03
USD0.01392012-07-06
USD0.03092012-04-05
20112.10%USD 0.172USD0.11962011-12-29
USD0.01762011-10-06
USD0.03492011-07-07
20104.79%USD 0.393USD0.26422010-12-22
USD0.02382010-10-06
USD0.04232010-07-07
USD0.0182010-04-30
USD0.04442010-04-07
20093.96%USD 0.324USD0.10382009-12-23
USD0.04862009-10-06
USD0.07192009-07-07
USD0.10012009-04-06
20086.61%USD 0.542USD0.17842008-12-24
USD0.1332008-12-23
USD0.06022008-10-03
USD0.07712008-07-07
USD0.09292008-04-04
20078.48%USD 0.695USD0.29852007-12-20
USD0.1762007-12-19
USD0.06762007-10-04
USD0.08222007-07-06
USD0.07052007-04-05
20068.51%USD 0.697USD0.35672006-12-20
USD0.1182006-12-19
USD0.06822006-10-05
USD0.06312006-07-07
USD0.09062006-04-06
20053.50%USD 0.286USD0.11132005-12-22
USD0.0452005-12-21
USD0.04412005-10-06
USD0.04072005-07-07
USD0.04522005-04-05
20042.20%USD 0.18USD0.06982004-12-23
USD0.0332004-12-22
USD0.02922004-10-06
USD0.04792004-04-05
20031.77%USD 0.145USD0.09192003-12-26
USD0.01252003-10-06
USD0.02622003-07-07
USD0.01462003-04-04
20024.08%USD 0.335USD0.10472002-12-27
USD0.06372002-10-04
USD0.06772002-07-04
USD0.05842002-04-04
USD0.042002-04-03
20014.79%USD 0.393USD0.10152001-12-27
USD0.0992001-10-02
USD0.1352001-07-03
USD0.0572001-04-03