TAX-EXEMPT HIGH YIELD BOND FUND CLASS T(RHYTX) USD 9.66
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.55%USD 0.053USD0.03082023-03-02
USD0.02252023-02-02
20223.95%USD 0.382USD0.04472022-12-16
USD0.03232022-12-02
USD0.03232022-11-02
USD0.0322022-10-04
USD0.03262022-09-02
USD0.03042022-08-02
USD0.03552022-07-05
USD0.03022022-06-02
USD0.02872022-05-03
USD0.03352022-04-04
USD0.02562022-03-02
USD0.02422022-02-02
20213.69%USD 0.356USD0.03142021-12-17
USD0.02672021-12-02
USD0.03022021-11-02
USD0.02772021-10-04
USD0.03132021-09-02
USD0.032021-08-03
USD0.032021-07-02
USD0.02892021-06-02
USD0.02712021-05-04
USD0.03722021-04-05
USD0.02792021-03-02
USD0.02762021-02-02
20203.90%USD 0.377USD0.04072020-12-18
USD0.02452020-12-02
USD0.03142020-11-03
USD0.03222020-10-02
USD0.02912020-09-02
USD0.0322020-08-04
USD0.03082020-07-02
USD0.03012020-06-02
USD0.03482020-05-04
USD0.03482020-04-02
USD0.02952020-03-03
USD0.0272020-02-04
20194.39%USD 0.424USD0.04332019-12-18
USD0.02752019-12-03
USD0.03932019-11-04
USD0.03032019-10-02
USD0.03162019-09-04
USD0.03952019-08-02
USD0.03082019-07-02
USD0.03642019-06-04
USD0.02562019-05-02
USD0.05422019-04-02
USD0.03222019-03-04
USD0.03372019-02-04
20184.52%USD 0.437USD0.05112018-12-19
USD0.03322018-12-04
USD0.04072018-11-02
USD0.03062018-10-02
USD0.03522018-09-05
USD0.03732018-08-02
USD0.03282018-07-03
USD0.03612018-06-04
USD0.03762018-05-02
USD0.03632018-04-03
USD0.02982018-03-02
USD0.03612018-02-02
20173.44%USD 0.333USD0.03232017-12-20
USD0.03422017-12-04
USD0.03612017-11-02
USD0.03372017-10-03
USD0.03192017-09-05
USD0.03862017-08-02
USD0.03052017-07-05
USD0.03262017-06-02
USD0.02982017-05-02
USD0.03292017-04-04