UTILITIES FUND CLASS C(RYCUX) USD 37.18
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.13%USD 0.42USD0.420362022-12-20
20213.64%USD 1.355USD1.354962021-12-09
20202.71%USD 1.007USD1.007322020-12-10
20191.22%USD 0.452USD0.451752019-12-11
20172.83%USD 1.053USD1.053112017-12-14
201610.02%USD 3.727USD3.727152016-11-15
20151.54%USD 0.571USD0.571262015-11-17
20140.36%USD 0.132USD0.132082014-11-18
20133.94%USD 1.464USD1.464242013-11-26
20123.01%USD 1.119USD1.118522012-11-26
20111.07%USD 0.397USD0.396732011-11-28
20104.36%USD 1.622USD1.622412010-11-24
20093.29%USD 1.222USD1.2222009-12-09
20080.35%USD 0.129USD0.128842008-12-02
20072.16%USD 0.805USD0.804862007-11-28
20060.98%USD 0.363USD0.363322006-12-06
20051.17%USD 0.437USD0.436812005-12-22
20040.80%USD 0.298USD0.298132004-11-22
20032.60%USD 0.968USD0.96842003-11-21