T. Rowe Price Dynamic Credit Fund(RPIDX) USD 9.03
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.74%USD 0.067USD0.032542023-02-27
USD0.034072023-01-30
20228.81%USD 0.795USD0.049372022-12-29
USD0.44632022-12-12
USD0.046762022-11-29
USD0.040842022-10-28
USD0.033812022-09-29
USD0.036632022-08-30
USD0.024092022-07-28
USD0.017632022-06-29
USD0.008062022-05-27
USD0.012412022-04-28
USD0.033272022-03-30
USD0.019282022-02-25
USD0.026942022-01-28
20215.82%USD 0.526USD0.039322021-12-30
USD0.1852021-12-16
USD0.037032021-11-29
USD0.026182021-10-28
USD0.027652021-09-29
USD0.029012021-08-30
USD0.033012021-07-29
USD0.0252021-06-29
USD0.027042021-05-27
USD0.031282021-04-29
USD0.022952021-03-30
USD0.021752021-02-25
USD0.020472021-01-28
20209.40%USD 0.849USD0.0452020-12-31
USD0.045072020-12-30
USD0.322020-12-16
USD0.0282020-11-30
USD0.028052020-11-27
USD0.02682020-11-02
USD0.026832020-10-29
USD0.0252020-09-30
USD0.024482020-09-29
USD0.0282020-08-31
USD0.028132020-08-28
USD0.036112020-07-30
USD0.034972020-06-29
USD0.032962020-05-28
USD0.026852020-04-29
USD0.028952020-03-30
USD0.032852020-02-27
USD0.030632020-01-30
20194.98%USD 0.45USD0.029612019-12-30
USD0.042019-12-17
USD0.030222019-11-27
USD0.028242019-10-30
USD0.030422019-09-27
USD0.032012019-08-29
USD0.028192019-07-30
USD0.0342019-06-28
USD0.0462019-05-31
USD0.0442019-04-30
USD0.0422019-03-29
USD0.042019-02-28
USD0.0252019-01-31