ROYCE PREMIER FUND INVESTMENT CLASS(RYPRX) USD 10.92
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.29%USD 0.906USD0.90572022-12-15
202125.21%USD 2.753USD2.7532021-12-16
20206.91%USD 0.755USD0.75462020-12-10
201924.39%USD 2.664USD2.66382019-12-12
201831.14%USD 3.4USD3.42018-12-13
201723.24%USD 2.537USD2.53742017-12-14
201619.06%USD 2.082USD2.08162016-12-15
201531.72%USD 3.464USD3.46412015-12-17
201419.73%USD 2.154USD2.15432014-12-17
201320.74%USD 2.265USD2.26512013-12-05
201213.25%USD 1.447USD0.0522012-12-28
USD1.39492012-12-06
201115.02%USD 1.64USD1.63982011-12-08
20102.45%USD 0.268USD0.26762010-12-09
20081.78%USD 0.195USD0.19452008-12-09
200723.56%USD 2.573USD2.57312007-12-07
20066.38%USD 0.697USD0.69722006-12-05
20057.64%USD 0.834USD0.83432005-12-02
20046.50%USD 0.709USD0.70942004-12-02
20031.14%USD 0.125USD0.12462003-12-04
20023.11%USD 0.339USD0.33912002-12-05
20014.22%USD 0.461USD0.23042001-12-05
USD0.23042001-11-30
200011.87%USD 1.297USD1.29652000-12-05