ENERGY FUND CLASS A(RYENX) USD 234.85
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.83%USD 6.64USD6.639972022-12-20
20210.38%USD 0.892USD0.891692021-12-08
20201.21%USD 2.834USD2.833562020-12-09
20190.62%USD 1.452USD1.45182019-12-10
20180.61%USD 1.423USD1.42332018-12-11
20170.71%USD 1.676USD1.67612017-12-12
20160.67%USD 1.566USD1.56562016-11-15
20151.42%USD 3.332USD3.33232015-11-17
20140.58%USD 1.364USD1.36442014-11-18
20122.42%USD 5.682USD5.68182012-11-26
20100.15%USD 0.349USD0.34882010-11-24
20090.08%USD 0.192USD0.1922009-12-09
20083.75%USD 8.811USD8.81122008-12-02
20073.72%USD 8.741USD8.7412007-11-28
20062.11%USD 4.965USD4.9652006-12-06
20052.46%USD 5.779USD5.77912005-12-22