COMMODITIES STRATEGY FUND CLASS H(RYMBX) USD 30.42
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202217.54%USD 5.336USD5.335732022-12-14
20212.89%USD 0.878USD0.878322021-12-14
202078.94%USD 24.013USD24.01282020-12-15
20191.49%USD 0.453USD0.452892019-12-12
201877.46%USD 23.563USD23.56322018-12-13
20174.34%USD 1.319USD1.319072017-12-13
201216.07%USD 4.888USD4.88832012-12-07
201120.80%USD 6.328USD6.32782011-12-12
20094.24%USD 1.29USD1.28992009-12-18
200827.77%USD 8.448USD8.44812008-12-04
20078.75%USD 2.661USD2.66112007-09-07