STRATEGIC BOND FUND CLASS A(RFDAX) USD 9.3
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.24%USD 0.209USD0.10152022-12-16
USD0.01842022-12-02
USD0.01762022-11-02
USD0.01232022-10-04
USD0.00962022-09-02
USD0.0092022-08-02
USD0.00922022-07-05
USD0.00622022-06-02
USD0.00812022-05-03
USD0.00862022-04-04
USD0.00672022-03-02
USD0.00152022-02-02
20212.05%USD 0.19USD0.12182021-12-17
USD0.0052021-12-02
USD0.0062021-11-02
USD0.01322021-10-04
USD0.00742021-09-02
USD0.00372021-08-03
USD0.00692021-07-02
USD0.01492021-04-05
USD0.01012021-03-02
USD0.00132021-02-02
20208.06%USD 0.749USD0.64752020-12-18
USD0.00872020-12-02
USD0.01532020-11-03
USD0.01792020-10-02
USD0.01622020-09-02
USD0.00862020-08-04
USD0.00812020-07-02
USD0.00462020-06-02
USD0.00592020-05-04
USD0.00162020-04-02
USD0.00872020-03-03
USD0.00632020-02-04
20193.86%USD 0.359USD0.16542019-12-18
USD0.01372019-12-03
USD0.02432019-11-04
USD0.01922019-10-02
USD0.02072019-09-04
USD0.02852019-08-02
USD0.01652019-07-02
USD0.01972019-06-04
USD0.02032019-05-02
USD0.01132019-04-02
USD0.00932019-03-04
USD0.01032019-02-04
20182.22%USD 0.206USD0.02912018-12-19
USD0.01872018-12-04
USD0.02362018-11-02
USD0.01852018-10-02
USD0.02122018-09-05
USD0.02592018-08-02
USD0.01372018-07-03
USD0.01492018-06-04
USD0.01822018-05-02
USD0.01212018-04-03
USD0.00272018-03-02
USD0.00782018-02-02
20171.17%USD 0.109USD0.04312017-12-20
USD0.01442017-12-04
USD0.01682017-11-02
USD0.01282017-10-03
USD0.00312017-05-02
USD0.00262017-04-04
USD0.00862017-03-02
USD0.00772017-02-02
20165.02%USD 0.467USD0.3282016-12-19
USD0.01092016-12-02
USD0.02022016-11-02
USD0.01662016-10-04
USD0.00872016-09-02
USD0.00842016-08-02
USD0.01292016-07-05
USD0.0082016-06-02
USD0.00762016-05-03
USD0.01222016-04-04
USD0.01612016-03-02
USD0.0172016-02-02
20154.21%USD 0.391USD0.2392015-12-21
USD0.01152015-12-03
USD0.01412015-11-03
USD0.01612015-10-05
USD0.01482015-09-03
USD0.01542015-08-05
USD0.01122015-07-06
USD0.01412015-06-03
USD0.01392015-05-05
USD0.01372015-04-02
USD0.01172015-03-04
USD0.00762015-02-04
USD0.0082015-02-03
20144.49%USD 0.418USD0.25812014-12-23
USD0.0352014-12-22
USD0.00782014-12-03
USD0.00982014-11-05
USD0.01612014-10-03
USD0.01212014-09-04
USD0.01132014-08-05
USD0.01112014-07-07
USD0.01332014-06-04
USD0.00912014-05-05
USD0.01192014-04-03
USD0.01092014-03-05
USD0.01132014-02-05
20132.38%USD 0.221USD0.0612013-12-26
USD0.0152013-12-23
USD0.00972013-12-04
USD0.01052013-11-05
USD0.01312013-10-03
USD0.01642013-09-05
USD0.01162013-08-05
USD0.02482013-07-05
USD0.01062013-06-05
USD0.01192013-05-03
USD0.01242013-04-03
USD0.0082013-03-05
USD0.01612013-02-05
20125.35%USD 0.498USD0.25682012-12-26
USD0.022012-12-24
USD0.01462012-12-05
USD0.01972012-11-05
USD0.01132012-10-03
USD0.01892012-09-05
USD0.01442012-08-03
USD0.01552012-07-03
USD0.01882012-06-04
USD0.0242012-05-02
USD0.02542012-04-03
USD0.02452012-03-02
USD0.03412012-02-02
20114.78%USD 0.444USD0.1262011-12-27
USD0.0262011-12-23
USD0.02522011-12-05
USD0.01562011-11-03
USD0.02662011-10-05
USD0.02642011-09-06
USD0.02972011-08-03
USD0.02972011-07-06
USD0.02892011-06-03
USD0.02692011-05-04
USD0.03442011-04-05
USD0.02022011-03-03
USD0.02862011-02-03
20107.51%USD 0.699USD0.2862010-12-21
USD0.0232010-12-20
USD0.03172010-12-03
USD0.01982010-11-03
USD0.03312010-10-05
USD0.02792010-09-03
USD0.03452010-08-04
USD0.0362010-07-06
USD0.03182010-06-03
USD0.03372010-05-05
USD0.0432010-04-30
USD0.04322010-04-06
USD0.03042010-03-03
USD0.02452010-02-03
20095.48%USD 0.509USD0.06732009-12-22
USD0.03172009-12-03
USD0.03012009-11-04
USD0.03082009-10-05
USD0.03472009-09-03
USD0.04142009-08-05
USD0.04282009-07-06
USD0.04262009-06-03
USD0.04092009-05-05
USD0.04782009-04-03
USD0.03852009-03-04
USD0.06062009-02-04
20081.90%USD 0.176USD0.05912008-12-22
USD0.0192008-12-19
USD0.03662008-12-02
USD0.04182008-11-05
USD0.01992008-10-03