RMB Mendon Financial Services Fund C(RMBNX) USD 29.26
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202223.71%USD 6.938USD6.937652022-12-13
20212.05%USD 0.599USD0.598682021-12-13
20191.22%USD 0.356USD0.355512019-12-12
20186.31%USD 1.847USD1.846732018-12-13
20179.84%USD 2.879USD2.87882017-12-15
20162.12%USD 0.619USD0.61892016-12-15
20154.35%USD 1.272USD1.27242015-12-07
20142.54%USD 0.744USD0.7442014-12-18
20100.37%USD 0.109USD0.08362010-12-16
USD0.0252010-04-30
20090.25%USD 0.074USD0.07432009-12-15
20081.99%USD 0.583USD0.58332008-12-17
20075.47%USD 1.602USD1.60192007-12-14
20067.15%USD 2.093USD2.09332006-12-15
20054.93%USD 1.443USD1.44272005-12-15