INTERNATIONAL DEVELOPED MARKETS FUND CLASS Y(RINYX) USD 40.38
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.31%USD 0.529USD0.52852022-12-16
20213.78%USD 1.525USD1.52462021-12-17
20201.22%USD 0.491USD0.49082020-12-18
20192.92%USD 1.178USD1.17772019-12-18
20187.11%USD 2.872USD2.87182018-12-19
20172.12%USD 0.854USD0.85422017-12-20
20162.12%USD 0.855USD0.85522016-12-19
20151.29%USD 0.522USD0.52212015-12-21
20141.76%USD 0.71USD0.71012014-12-23
20132.09%USD 0.844USD0.84372013-12-26
20121.67%USD 0.675USD0.67482012-12-26
20111.33%USD 0.535USD0.53542011-12-27
20101.34%USD 0.541USD0.50732010-12-21
USD0.0342010-04-30
20092.64%USD 1.068USD1.0682009-12-22
20081.78%USD 0.717USD0.71712008-08-27
200727.28%USD 11.016USD9.41082007-12-17
USD1.6052007-12-14
200619.87%USD 8.024USD6.47382006-12-14
USD1.552006-12-13
20051.92%USD 0.774USD0.77442005-12-19
20041.88%USD 0.761USD0.76112004-12-20
20031.98%USD 0.799USD0.79862003-12-22
20021.12%USD 0.453USD0.45332002-12-21