FINANCIAL SERVICES FUND CLASS A(RYFNX) USD 61.18
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202228.66%USD 17.536USD17.53552022-12-20
20211.44%USD 0.881USD0.880752021-12-08
20190.53%USD 0.322USD0.322042019-12-10
20185.16%USD 3.156USD3.156322018-12-11
20170.61%USD 0.374USD0.373942017-12-12
20160.73%USD 0.449USD0.448572016-11-15
20150.74%USD 0.455USD0.45532015-11-17
20140.21%USD 0.128USD0.12782014-11-18
20130.46%USD 0.281USD0.28142013-11-26
20120.45%USD 0.274USD0.27432012-11-26
20110.02%USD 0.013USD0.01292011-11-28
20100.77%USD 0.474USD0.4742010-11-24
20090.51%USD 0.312USD0.3122009-12-09
20081.55%USD 0.95USD0.952008-12-02
20071.76%USD 1.079USD1.07862007-11-28
20060.52%USD 0.318USD0.31782006-12-06
20050.98%USD 0.598USD0.59842005-12-22