DEUTSCHE REAL ESTATE SECURITIES FUND CLASS R(RRRSX) USD 19.44
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.17%USD 0.033USD0.0332023-03-24
20223.62%USD 0.704USD0.07082022-12-19
USD0.07092022-09-23
USD0.53862022-06-23
USD0.02412022-03-24
20219.92%USD 1.929USD1.78762021-12-17
USD0.05562021-09-23
USD0.05792021-06-23
USD0.02822021-03-24
20203.12%USD 0.606USD0.06482020-12-17
USD0.06712020-09-23
USD0.39342020-06-23
USD0.08062020-03-24
20198.48%USD 1.649USD1.37022019-12-18
USD0.07662019-09-23
USD0.13032019-06-21
USD0.07172019-03-22
20183.74%USD 0.727USD0.41472018-12-19
USD0.082018-09-21
USD0.16832018-06-22
USD0.06412018-03-22
20174.48%USD 0.871USD0.66552017-12-19
USD0.07022017-09-22
USD0.0722017-06-23
USD0.06322017-03-24
201612.56%USD 2.442USD2.16072016-12-19
USD0.06752016-09-23
USD0.15422016-06-23
USD0.05942016-03-23
201514.77%USD 2.871USD0.0692015-12-31
USD1.89222015-12-17
USD0.07372015-09-23
USD0.78662015-06-23
USD0.0492015-03-24
20149.50%USD 1.846USD1.63172014-12-18
USD0.07462014-09-23
USD0.0692014-06-23
USD0.0712014-03-24
20132.31%USD 0.45USD0.2462013-12-18
USD0.072013-09-23
USD0.0682013-06-21
USD0.0662013-03-21
20121.37%USD 0.267USD0.1062012-12-19
USD0.0612012-09-21
USD0.0582012-06-22
USD0.0422012-03-23
20111.02%USD 0.199USD0.0742011-12-19
USD0.0492011-09-23
USD0.0422011-06-23
USD0.0342011-03-24
20101.16%USD 0.225USD0.0672010-12-17
USD0.0472010-09-23
USD0.052010-06-23
USD0.0612010-03-24
20091.62%USD 0.315USD0.1472009-12-18
USD0.0392009-09-23
USD0.0572009-06-23
USD0.0722009-03-24
20082.64%USD 0.513USD0.22008-12-18
USD0.1012008-09-23
USD0.1062008-06-23
USD0.1062008-03-24
20071.54%USD 0.3USD0.1052007-12-18
USD0.1052007-09-21
USD0.0482007-06-22
USD0.0422007-03-23
20062.29%USD 0.446USD0.0492006-09-22
USD0.0492006-08-24
USD0.0492006-07-24
USD0.052006-06-23
USD0.052006-05-23
USD0.052006-04-21
USD0.0492006-03-24
USD0.052006-02-21
USD0.052006-01-24
20052.96%USD 0.576USD0.052005-12-23
USD0.052005-11-22
USD0.052005-10-24
USD0.0512005-09-23
USD0.052005-08-24
USD0.0522005-07-22
USD0.0522005-06-23
USD0.052005-05-23
USD0.052005-04-22
USD0.0392005-03-24
USD0.0412005-02-22
USD0.0412005-01-24
20042.61%USD 0.507USD0.0442004-12-21
USD0.0412004-11-22
USD0.0442004-10-26
USD0.0442004-09-23
USD0.0422004-08-24
USD0.0422004-07-23
USD0.0422004-06-23
USD0.0422004-05-21
USD0.0422004-04-23
USD0.0422004-03-24
USD0.0412004-02-20
USD0.0412004-01-23
20031.31%USD 0.255USD0.1732003-12-22
USD0.0412003-11-20
USD0.0412003-10-24