GLOBAL REAL ESTATE SECURITIES FUND CLASS A(RREAX) USD 26.48
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.07%USD 0.285USD0.28452023-04-04
20222.30%USD 0.609USD0.16412022-10-04
USD0.15912022-07-05
USD0.28542022-04-04
20218.90%USD 2.356USD1.90832021-12-17
USD0.26452021-10-04
USD0.18342021-04-05
20201.64%USD 0.435USD0.04692020-10-02
USD0.03152020-07-02
USD0.35642020-04-02
20199.02%USD 2.389USD1.92982019-12-18
USD0.14492019-10-02
USD0.15742019-07-02
USD0.15712019-04-02
20185.29%USD 1.402USD0.55432018-12-19
USD0.22422018-10-02
USD0.23522018-07-03
USD0.38832018-04-03
20179.85%USD 2.608USD2.22012017-12-20
USD0.09562017-10-03
USD0.06432017-07-05
USD0.22782017-04-04
201613.71%USD 3.631USD2.82452016-12-19
USD0.13642016-10-04
USD0.45682016-07-05
USD0.21282016-04-04
20159.84%USD 2.605USD2.01842015-12-21
USD0.11152015-10-05
USD0.18522015-07-06
USD0.29022015-04-06
201413.95%USD 3.693USD2.63192014-12-23
USD0.3972014-12-22
USD0.08092014-10-03
USD0.24382014-07-07
USD0.33962014-04-03
201316.67%USD 4.416USD3.34862013-12-26
USD0.4062013-12-23
USD0.0852013-10-03
USD0.25452013-07-05
USD0.32142013-04-03
201213.80%USD 3.655USD1.54972012-12-26
USD1.4162012-12-24
USD0.11642012-10-03
USD0.26652012-07-05
USD0.30672012-04-04
20112.50%USD 0.661USD0.16722011-10-05
USD0.24062011-07-06
USD0.25342011-04-05
20102.75%USD 0.727USD0.18482010-12-21
USD0.13292010-10-05
USD0.34412010-07-06
USD0.06512010-04-06
20093.35%USD 0.888USD0.2822009-12-22
USD0.13242009-10-05
USD0.10232009-07-06
USD0.37082009-04-03
20082.95%USD 0.781USD0.12412008-12-22
USD0.18772008-10-03
USD0.15252008-07-03
USD0.31622008-04-03
200725.42%USD 6.731USD5.90782007-12-17
USD0.1372007-12-14
USD0.17032007-10-03
USD0.13722007-07-05
USD0.37822007-04-04