CLEARBRIDGE LARGE CAP VALUE FUND CLASS I(SAIFX) USD 37.14
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.48%USD 0.549USD0.18722022-12-20
USD0.143512022-09-30
USD0.110362022-06-30
USD0.107732022-03-31
20215.42%USD 2.012USD1.72882021-12-20
USD0.1132021-09-30
USD0.072842021-06-30
USD0.097692021-03-31
20207.19%USD 2.672USD2.274442020-12-18
USD0.121142020-09-30
USD0.11712020-06-30
USD0.15892020-03-31
20195.98%USD 2.221USD1.778762019-12-19
USD0.139512019-09-30
USD0.145242019-06-28
USD0.157692019-03-29
20186.24%USD 2.319USD0.130122018-12-20
USD1.782492018-12-06
USD0.136492018-09-27
USD0.133592018-06-28
USD0.135942018-03-28
20172.51%USD 0.931USD0.126932017-12-21
USD0.445812017-12-06
USD0.109122017-09-29
USD0.126552017-06-30
USD0.122922017-03-31
20161.83%USD 0.681USD0.11432016-12-22
USD0.215792016-12-08
USD0.106352016-09-30
USD0.119992016-06-30
USD0.125042016-03-31
20152.78%USD 1.032USD0.165752015-12-22
USD0.412792015-12-10
USD0.144152015-09-30
USD0.164682015-06-30
USD0.145032015-03-31
20141.35%USD 0.501USD0.144472014-12-23
USD0.121582014-09-30
USD0.120152014-06-27
USD0.114542014-03-28
20131.03%USD 0.383USD0.088942013-12-27
USD0.078832013-09-30
USD0.127962013-06-26
USD0.087372013-03-28
20121.03%USD 0.381USD0.089262012-12-27
USD0.097662012-09-28
USD0.090362012-06-29
USD0.10422012-03-30
20110.93%USD 0.347USD0.094542011-12-28
USD0.07632011-09-30
USD0.094492011-06-30
USD0.08142011-03-31
20100.90%USD 0.333USD0.082132010-12-29
USD0.064492010-09-30
USD0.080972010-06-30
USD0.032010-04-30
USD0.075222010-03-31
20090.98%USD 0.364USD0.019592009-12-29
USD0.0832009-12-02
USD0.069642009-09-30
USD0.096142009-06-30
USD0.096072009-03-31
20082.03%USD 0.753USD0.068572008-12-29
USD0.071032008-09-30
USD0.099242008-06-30
USD0.425432008-06-19
USD0.088912008-03-31
20073.51%USD 1.302USD0.092782007-12-27
USD0.82942007-12-13
USD0.07822007-09-28
USD0.09482007-06-29
USD0.07622007-03-30
USD0.130672007-03-01
20065.83%USD 2.166USD0.087122006-12-27
USD1.831592006-12-08
USD0.0912006-09-29
USD0.0932006-06-30
USD0.0632006-03-31
20050.81%USD 0.301USD0.0662005-12-28
USD0.0722005-09-30
USD0.0872005-06-24
USD0.0762005-03-24
20040.91%USD 0.338USD0.1272004-12-15
USD0.0762004-09-24
USD0.0762004-06-25
USD0.0592004-03-26
20030.73%USD 0.27USD0.0662003-12-26
USD0.0692003-09-26
USD0.0722003-06-27
USD0.0632003-03-28
20020.55%USD 0.203USD0.0652002-12-27
USD0.0462002-09-27
USD0.0572002-06-28
USD0.0352002-03-22
20010.51%USD 0.191USD0.0432001-12-28
USD0.0432001-09-28
USD0.052001-06-29
USD0.0552001-03-30
20000.72%USD 0.266USD0.0812000-12-29
USD0.0562000-09-29
USD0.0672000-06-30
USD0.0622000-03-31