CONSUMER PRODUCTS FUND CLASS H(RYCAX) USD 47.25
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.64%USD 4.083USD4.082962022-12-20
202119.12%USD 9.036USD9.035992021-12-08
202011.23%USD 5.304USD5.30442020-12-09
20193.57%USD 1.686USD1.686342019-12-10
20188.14%USD 3.847USD3.84682018-12-11
201710.95%USD 5.172USD5.172472017-12-12
20161.84%USD 0.867USD0.867242016-11-15
20152.63%USD 1.241USD1.241182015-11-17
20141.45%USD 0.683USD0.683312014-11-18
20134.19%USD 1.981USD1.98062013-11-26
20120.24%USD 0.113USD0.062312012-12-21
USD0.05032012-11-26
20113.14%USD 1.486USD1.48562011-11-28
201013.85%USD 6.542USD6.54222010-11-24
20090.21%USD 0.097USD0.0972009-12-09
20080.44%USD 0.207USD0.20662008-12-02
20070.75%USD 0.356USD0.35622007-11-28
20060.13%USD 0.062USD0.06162006-12-06
20050.88%USD 0.415USD0.41462005-12-22
20040.03%USD 0.014USD0.01432004-11-22
20030.12%USD 0.055USD0.05452003-11-21
20020.28%USD 0.133USD0.13282002-11-22
20010.11%USD 0.054USD0.0542001-11-16