EQUITY GROWTH STRATEGY FUND CLASS S(RELSX) USD 12.81
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20225.33%USD 0.682USD0.38382022-12-20
USD0.01432022-10-05
USD0.0192022-07-06
USD0.26522022-04-05
20219.53%USD 1.22USD1.12122021-12-21
USD0.02582021-10-05
USD0.07322021-07-06
20202.05%USD 0.263USD0.06762020-12-22
USD0.01732020-10-05
USD0.04472020-07-06
USD0.13322020-04-03
20193.18%USD 0.408USD0.40782019-12-20
20184.75%USD 0.608USD0.52192018-12-21
USD0.08612018-07-05
20172.71%USD 0.347USD0.27072017-12-22
USD0.07612017-04-05
20161.98%USD 0.254USD0.1342016-12-21
USD0.0372016-10-05
USD0.02652016-07-06
USD0.05672016-04-05
20151.35%USD 0.172USD0.08032015-12-23
USD0.02752015-10-06
USD0.02762015-07-07
USD0.03692015-04-07
20142.33%USD 0.298USD0.22282014-12-29
USD0.01972014-10-06
USD0.00922014-07-07
USD0.04652014-04-04
20131.85%USD 0.237USD0.18912013-12-30
USD0.00842013-07-08
USD0.03942013-04-04
20121.09%USD 0.14USD0.09882012-12-28
USD0.0312012-10-04
USD0.012012-04-05
20110.77%USD 0.099USD0.09882011-12-29
20101.07%USD 0.137USD0.12022010-12-22
USD0.0092010-04-30
USD0.00752010-04-07
20091.16%USD 0.148USD0.09632009-12-23
USD0.00652009-07-07
USD0.0072009-07-06
USD0.03832009-04-06
20085.42%USD 0.694USD0.59642008-12-24
USD0.06322008-10-06
USD0.01182008-07-07
USD0.02242008-04-04
200711.71%USD 1.5USD1.00332007-12-20
USD0.4712007-12-19
USD0.02542007-04-05
20067.73%USD 0.99USD0.62742006-12-20
USD0.312006-12-19
USD0.01172006-10-05
USD0.00972006-07-07
USD0.03142006-04-06
20052.11%USD 0.27USD0.1582005-12-22
USD0.0772005-12-21
USD0.00082005-10-06
USD0.0012005-10-05
USD0.01182005-07-07
USD0.02112005-04-05
20040.92%USD 0.118USD0.09532004-12-23
USD0.02242004-04-05
20030.84%USD 0.108USD0.07432003-12-29
USD0.0132003-10-06
USD0.00842003-07-07
USD0.01212003-04-04
20020.27%USD 0.035USD0.02762002-12-27
USD0.00732002-10-04
20011.66%USD 0.213USD0.16722001-12-27
USD0.0322001-12-26
USD0.0142001-10-02
20001.16%USD 0.149USD0.1412000-12-27
USD0.0082000-10-03