U.S. CORE EQUITY FUND CLASS S(RLISX) USD 24.66
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.35%USD 0.086USD0.08612023-04-04
202218.89%USD 4.658USD4.37882022-12-16
USD0.11772022-10-04
USD0.09642022-07-05
USD0.06522022-04-04
202113.52%USD 3.334USD3.1322021-12-17
USD0.07962021-10-04
USD0.05462021-07-02
USD0.0682021-04-05
20203.84%USD 0.948USD0.69782020-12-18
USD0.08332020-10-02
USD0.08412020-07-02
USD0.08252020-04-02
20191.81%USD 0.446USD0.16272019-12-18
USD0.10722019-10-02
USD0.10912019-07-02
USD0.06682019-04-02
201837.39%USD 9.22USD8.92312018-12-19
USD0.12912018-10-02
USD0.09782018-07-03
USD0.06992018-04-03
201718.71%USD 4.614USD4.34682017-12-20
USD0.10282017-10-03
USD0.09962017-07-05
USD0.06482017-04-04
201613.50%USD 3.33USD3.02792016-12-19
USD0.1032016-10-04
USD0.09712016-07-05
USD0.10192016-04-04
201532.09%USD 7.912USD7.41632015-12-21
USD0.09882015-10-05
USD0.1042015-07-06
USD0.29312015-04-06
201427.03%USD 6.665USD6.15672014-12-23
USD0.0462014-12-22
USD0.10512014-10-03
USD0.13982014-07-07
USD0.21732014-04-03
20131.10%USD 0.272USD0.0192013-12-26
USD0.0872013-10-03
USD0.11072013-07-05
USD0.0552013-04-03
20121.32%USD 0.325USD0.14212012-12-26
USD0.08912012-10-03
USD0.0592012-07-05
USD0.03492012-04-04
20111.06%USD 0.262USD0.11042011-12-27
USD0.06042011-10-05
USD0.07162011-07-06
USD0.01992011-04-05
20101.13%USD 0.28USD0.08492010-12-21
USD0.04722010-10-05
USD0.05552010-07-06
USD0.0652010-04-30
USD0.02722010-04-06
20090.76%USD 0.187USD0.06362009-12-22
USD0.03552009-10-05
USD0.05042009-07-06
USD0.03782009-04-03
20080.53%USD 0.131USD0.10992008-12-22
USD0.02112008-10-03