T. ROWE PRICE BALANCED FUND INC. T. ROWE PRICE BALANCED FUND INC.(RPBAX) USD 23.65
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.46%USD 0.108USD0.10832023-03-29
20224.73%USD 1.118USD0.80972022-12-19
USD0.09862022-09-28
USD0.142022-06-28
USD0.072022-03-29
202111.12%USD 2.63USD2.362021-12-13
USD0.082021-09-28
USD0.122021-06-28
USD0.072021-03-29
20205.29%USD 1.25USD0.952020-12-11
USD0.092020-09-28
USD0.112020-06-26
USD0.12020-03-27
20193.59%USD 0.85USD0.472019-12-12
USD0.12019-09-26
USD0.152019-06-26
USD0.132019-03-27
20187.61%USD 1.8USD1.432018-12-12
USD0.112018-09-26
USD0.162018-06-27
USD0.12018-03-27
20172.20%USD 0.52USD0.192017-12-13
USD0.12017-09-27
USD0.142017-06-28
USD0.092017-03-29
20163.13%USD 0.74USD0.422016-12-13
USD0.092016-09-28
USD0.142016-06-28
USD0.092016-03-29
20156.64%USD 1.57USD1.212015-12-11
USD0.092015-09-28
USD0.142015-06-26
USD0.132015-03-27
20147.19%USD 1.7USD1.322014-12-11
USD0.092014-09-26
USD0.152014-06-26
USD0.142014-03-27
20135.62%USD 1.33USD1.032013-12-12
USD0.082013-09-26
USD0.142013-06-26
USD0.082013-03-26
20123.89%USD 0.92USD0.592012-12-13
USD0.12012-09-26
USD0.142012-06-27
USD0.092012-03-28
20112.24%USD 0.53USD0.222011-12-13
USD0.12011-09-28
USD0.132011-06-28
USD0.082011-03-29
20101.80%USD 0.425USD0.1052010-12-13
USD0.122010-09-28
USD0.112010-06-28
USD0.092010-03-29
20091.71%USD 0.405USD0.1052009-12-11
USD0.082009-09-28
USD0.122009-06-26
USD0.12009-03-27
20083.76%USD 0.89USD0.342008-12-12
USD0.112008-12-11
USD0.112008-09-26
USD0.152008-06-26
USD0.182008-03-27
20079.22%USD 2.18USD1.652007-12-18
USD0.142007-09-26
USD0.172007-06-27
USD0.222007-03-28
20064.78%USD 1.13USD0.472006-12-19
USD0.142006-09-27
USD0.142006-06-28
USD0.382006-03-29
20054.19%USD 0.99USD0.462005-12-13
USD0.112005-09-28
USD0.142005-06-28
USD0.282005-03-29
20042.45%USD 0.58USD0.252004-12-14
USD0.112004-09-28
USD0.112004-06-28
USD0.112004-03-29
20031.78%USD 0.42USD0.12003-12-17
USD0.112003-09-26
USD0.112003-06-26
USD0.12003-03-27
20022.11%USD 0.5USD0.12002-12-18
USD0.122002-09-26
USD0.132002-06-26
USD0.152002-03-26
20013.81%USD 0.9USD0.122001-12-12
USD0.132001-09-26
USD0.132001-06-27
USD0.522001-03-28
20003.93%USD 0.93USD0.52000-12-13
USD0.142000-09-27
USD0.132000-06-28
USD0.162000-03-29