U.S. DEFENSIVE EQUITY FUND CLASS Y(REUYX) USD 41.33
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.05%USD 0.022USD0.02242023-04-04
202212.15%USD 5.024USD4.82062022-12-16
USD0.09642022-10-04
USD0.07832022-07-05
USD0.02822022-04-04
202128.66%USD 11.844USD11.64482021-12-17
USD0.06962021-10-04
USD0.08852021-07-02
USD0.04112021-04-05
202020.00%USD 8.267USD7.99812020-12-18
USD0.07732020-10-02
USD0.11872020-07-02
USD0.07282020-04-02
201915.98%USD 6.606USD6.29882019-12-18
USD0.1322019-10-02
USD0.13292019-07-02
USD0.04272019-04-02
201811.33%USD 4.681USD4.28642018-12-19
USD0.14332018-10-02
USD0.14672018-07-03
USD0.10462018-04-03
201712.97%USD 5.36USD5.0092017-12-20
USD0.13932017-10-03
USD0.12282017-07-05
USD0.08882017-04-04
201610.31%USD 4.262USD0.18982016-12-19
USD3.52582016-12-15
USD0.21282016-10-04
USD0.16972016-07-05
USD0.16432016-04-04
20151.71%USD 0.705USD0.20072015-12-21
USD0.16462015-10-05
USD0.17652015-07-06
USD0.16332015-04-06
20141.66%USD 0.686USD0.21222014-12-23
USD0.17272014-10-03
USD0.15482014-07-07
USD0.1462014-04-03
20131.27%USD 0.525USD0.14242013-12-26
USD0.13732013-10-03
USD0.15032013-07-05
USD0.09522013-04-03
20121.31%USD 0.542USD0.21782012-12-26
USD0.14652012-10-03
USD0.10462012-07-05
USD0.07322012-04-04
20110.83%USD 0.344USD0.12412011-12-27
USD0.07872011-10-05
USD0.08462011-07-06
USD0.05692011-04-05
20100.99%USD 0.411USD0.13412010-12-21
USD0.10472010-10-05
USD0.09192010-07-06
USD0.0172010-04-30
USD0.06322010-04-06
20090.80%USD 0.332USD0.11212009-12-22
USD0.06512009-10-05
USD0.07892009-07-06
USD0.07632009-04-03
20080.73%USD 0.303USD0.11322008-12-22
USD0.02292008-10-03
USD0.09412008-07-03
USD0.0732008-04-03
200710.38%USD 4.291USD3.86712007-12-17
USD0.1472007-12-14
USD0.08922007-10-03
USD0.08972007-07-05
USD0.09792007-04-04
20068.42%USD 3.482USD3.0082006-12-14
USD0.1642006-12-13
USD0.11042006-10-04
USD0.10992006-07-06
USD0.08942006-04-05
20053.50%USD 1.445USD1.01672005-12-12
USD0.1432005-12-09
USD0.09622005-10-05
USD0.10022005-07-06
USD0.08892005-04-04
20040.93%USD 0.384USD0.16562004-12-13
USD0.08392004-10-04
USD0.08022004-07-02
USD0.05422004-04-02
20030.76%USD 0.314USD0.12482003-12-15
USD0.07262003-10-03
USD0.07382003-07-03
USD0.04242003-04-03
20020.21%USD 0.086USD0.0862002-12-14