QS CONSERVATIVE GROWTH FUND CLASS A(SBBAX) USD 13.1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.06%USD 0.925USD0.187522022-12-29
USD0.018182022-09-30
USD0.687112022-06-30
USD0.031992022-03-31
20217.57%USD 0.992USD0.552352021-12-30
USD0.099382021-09-30
USD0.311262021-06-30
USD0.028682021-03-31
20205.17%USD 0.677USD0.246752020-12-30
USD0.033192020-09-30
USD0.356132020-06-30
USD0.04082020-03-31
20195.88%USD 0.77USD0.169052019-12-27
USD0.033692019-09-30
USD0.523342019-06-28
USD0.043692019-03-29
20186.25%USD 0.819USD0.384592018-12-27
USD0.055842018-09-27
USD0.338892018-06-28
USD0.039632018-03-28
20179.55%USD 1.251USD0.972452017-12-28
USD0.037772017-09-29
USD0.206592017-06-30
USD0.034412017-03-31
20164.38%USD 0.574USD0.17052016-12-28
USD0.023792016-12-07
USD0.04132016-09-30
USD0.036592016-06-30
USD0.272272016-06-09
USD0.029322016-03-31
20157.40%USD 0.969USD0.145632015-12-23
USD0.678552015-12-09
USD0.033322015-09-30
USD0.034582015-06-30
USD0.034762015-06-24
USD0.042582015-03-31
20142.29%USD 0.301USD0.16462014-12-29
USD0.04632014-09-30
USD0.044952014-06-27
USD0.044672014-03-28
20132.03%USD 0.266USD0.12982013-12-30
USD0.035242013-09-30
USD0.032162013-06-26
USD0.068732013-03-28
20121.64%USD 0.215USD0.106942012-12-28
USD0.032342012-09-28
USD0.039182012-06-29
USD0.03692012-03-30
20111.78%USD 0.233USD0.102812011-12-29
USD0.038972011-09-30
USD0.049372011-06-30
USD0.041412011-03-31
20102.35%USD 0.307USD0.115422010-12-30
USD0.076562010-09-30
USD0.040642010-06-30
USD0.07472010-03-31
20093.14%USD 0.411USD0.139252009-12-30
USD0.080252009-09-30
USD0.077862009-06-30
USD0.114012009-03-31
20085.34%USD 0.7USD0.096232008-12-30
USD0.07012008-09-30
USD0.108192008-06-30
USD0.364122008-06-19
USD0.061352008-03-31
20075.81%USD 0.762USD0.178872007-12-28
USD0.079992007-12-13
USD0.06282007-09-28
USD0.09722007-06-29
USD0.292262007-06-22
USD0.05052007-03-30
20062.36%USD 0.309USD0.133622006-12-29
USD0.06442006-09-29
USD0.05942006-06-30
USD0.05152006-03-31
20051.69%USD 0.221USD0.0872005-12-28
USD0.052005-09-28
USD0.0442005-06-22
USD0.042005-03-30
20041.74%USD 0.228USD0.0722004-12-29
USD0.0452004-09-22
USD0.0532004-06-23
USD0.0582004-03-24
20031.98%USD 0.26USD0.0582003-12-23
USD0.0662003-09-24
USD0.0662003-06-25
USD0.072003-03-26
20022.27%USD 0.298USD0.072002-12-24
USD0.072002-09-25
USD0.0792002-06-26
USD0.0792002-03-20
20013.77%USD 0.494USD0.1642001-12-26
USD0.112001-09-26
USD0.112001-06-27
USD0.112001-03-28
20004.81%USD 0.63USD0.32000-12-27
USD0.112000-09-27
USD0.112000-06-28
USD0.112000-03-29