INVESTMENT GRADE BOND FUND CLASS R6(RIGRX) USD 18.72
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.51%USD 0.095USD0.05412023-03-02
USD0.04072023-02-02
20221.20%USD 0.225USD0.02692022-12-16
USD0.03612022-12-02
USD0.04032022-11-02
USD0.04132022-10-04
USD0.01732022-05-03
USD0.02252022-04-04
USD0.02232022-03-02
USD0.01852022-02-02
20212.88%USD 0.539USD0.24842021-12-17
USD0.02462021-12-02
USD0.0272021-11-02
USD0.02992021-10-04
USD0.02782021-09-02
USD0.01152021-08-03
USD0.02642021-07-02
USD0.02722021-06-02
USD0.02352021-05-04
USD0.0452021-04-05
USD0.03272021-03-02
USD0.01512021-02-02
20206.31%USD 1.181USD0.84632020-12-18
USD0.02182020-12-02
USD0.03142020-11-03
USD0.04042020-10-02
USD0.03872020-09-02
USD0.04162020-08-04
USD0.02592020-07-02
USD0.02982020-06-02
USD0.03862020-05-04
USD0.02852020-04-02
USD0.02582020-03-03
USD0.01232020-02-04
20193.99%USD 0.747USD0.26782019-12-18
USD0.03462019-12-03
USD0.0562019-11-04
USD0.03892019-10-02
USD0.04032019-09-04
USD0.05372019-08-02
USD0.04592019-07-02
USD0.05442019-06-04
USD0.05572019-05-02
USD0.04582019-04-02
USD0.03372019-03-04
USD0.01992019-02-04
20182.93%USD 0.548USD0.10612018-12-19
USD0.04362018-12-04
USD0.04922018-11-02
USD0.03582018-10-02
USD0.04322018-09-05
USD0.04962018-08-02
USD0.03932018-07-03
USD0.03952018-06-04
USD0.04262018-05-02
USD0.042018-04-03
USD0.02262018-03-02
USD0.03612018-02-02
20171.76%USD 0.33USD0.01122017-12-20
USD0.04042017-12-04
USD0.03752017-11-02
USD0.02932017-10-03
USD0.03562017-09-05
USD0.03892017-08-02
USD0.02612017-07-05
USD0.02762017-06-02
USD0.02332017-05-02
USD0.01832017-04-04
USD0.02212017-03-02
USD0.01932017-02-02
20165.70%USD 1.066USD0.7362016-12-19
USD0.03172016-12-02
USD0.04592016-11-02
USD0.05212016-10-04
USD0.0382016-09-02
USD0.03882016-08-02
USD0.03882016-07-05
USD0.03522016-06-02
USD0.02942016-05-03
USD0.02052016-04-04