DEUTSCHE REAL ESTATE SECURITIES FUND INSTITUTIONAL CLASS(RRRRX) USD 19.4
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.33%USD 0.063USD0.06312023-03-24
20224.36%USD 0.845USD0.10332022-12-19
USD0.10372022-09-23
USD0.57362022-06-23
USD0.06432022-03-24
202110.81%USD 2.098USD1.83472021-12-17
USD0.09992021-09-23
USD0.09942021-06-23
USD0.0642021-03-24
20203.76%USD 0.73USD0.10022020-12-17
USD0.09922020-09-23
USD0.42562020-06-23
USD0.10452020-03-24
20199.25%USD 1.794USD1.40772019-12-18
USD0.11522019-09-23
USD0.1662019-06-21
USD0.1052019-03-22
20184.44%USD 0.861USD0.44832018-12-19
USD0.11492018-09-21
USD0.20222018-06-22
USD0.09522018-03-22
20175.21%USD 1.011USD0.70222017-12-19
USD0.10572017-09-22
USD0.10682017-06-23
USD0.09642017-03-24
201613.37%USD 2.594USD2.19712016-12-19
USD0.10672016-09-23
USD0.19342016-06-23
USD0.0972016-03-23
201515.56%USD 3.018USD0.0692015-12-31
USD1.92942015-12-17
USD0.10832015-09-23
USD0.82252015-06-23
USD0.08892015-03-24
201410.25%USD 1.989USD1.6712014-12-18
USD0.10942014-09-23
USD0.1052014-06-23
USD0.1042014-03-24
20133.05%USD 0.592USD0.2792013-12-18
USD0.1052013-09-23
USD0.1042013-06-21
USD0.1042013-03-21
20122.04%USD 0.396USD0.1382012-12-19
USD0.0932012-09-21
USD0.0912012-06-22
USD0.0742012-03-23
20111.62%USD 0.314USD0.0962011-12-19
USD0.0692011-09-23
USD0.082011-06-23
USD0.0692011-03-24
20101.68%USD 0.326USD0.0962010-12-17
USD0.0762010-09-23
USD0.0722010-06-23
USD0.0822010-03-24
20091.97%USD 0.382USD0.172009-12-18
USD0.0612009-09-23
USD0.0692009-06-23
USD0.0822009-03-24
20083.18%USD 0.617USD0.2182008-12-18
USD0.1312008-09-23
USD0.1342008-06-23
USD0.1342008-03-24
20072.21%USD 0.428USD0.1342007-12-18
USD0.1392007-09-21
USD0.0792007-06-22
USD0.0762007-03-23
20062.87%USD 0.557USD0.0622006-09-22
USD0.0622006-08-24
USD0.0622006-07-24
USD0.0622006-06-23
USD0.0622006-05-23
USD0.0622006-04-21
USD0.0622006-03-24
USD0.0612006-02-21
USD0.0622006-01-24
20053.64%USD 0.707USD0.0622005-12-23
USD0.0612005-11-22
USD0.0612005-10-24
USD0.0612005-09-23
USD0.0612005-08-24
USD0.0622005-07-22
USD0.0612005-06-23
USD0.0612005-05-23
USD0.0612005-04-22
USD0.0522005-03-24
USD0.0522005-02-22
USD0.0522005-01-24
20043.22%USD 0.625USD0.0532004-12-21
USD0.0522004-11-22
USD0.0522004-10-26
USD0.0522004-09-23
USD0.0522004-08-24
USD0.0522004-07-23
USD0.0522004-06-23
USD0.0522004-05-21
USD0.0522004-04-23
USD0.0522004-03-24
USD0.0522004-02-20
USD0.0522004-01-23
20033.32%USD 0.645USD0.1842003-12-22
USD0.0522003-11-20
USD0.0522003-10-24
USD0.0512003-09-23
USD0.0512003-08-22
USD0.0512003-07-24
USD0.0512003-06-23
USD0.0512003-05-22
USD0.0512003-04-23
USD0.0512003-03-24