DEUTSCHE S&P 500 INDEX FUND CLASS S(SCPIX) USD 37.6
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.32%USD 0.12USD0.11972023-03-24
20225.92%USD 2.227USD1.74122022-12-15
USD0.11992022-09-23
USD0.25422022-06-23
USD0.11182022-03-24
20216.30%USD 2.37USD2.01322021-12-15
USD0.11282021-09-23
USD0.12232021-06-23
USD0.12162021-03-24
20206.81%USD 2.559USD1.78462020-12-15
USD0.12612020-09-23
USD0.52462020-06-23
USD0.12362020-03-24
20194.56%USD 1.716USD1.07622019-12-16
USD0.13082019-09-23
USD0.38952019-06-21
USD0.11992019-03-22
20185.86%USD 2.205USD1.761152018-12-17
USD0.13082018-09-21
USD0.21192018-06-22
USD0.10082018-03-22
20174.92%USD 1.85USD1.29792017-12-15
USD0.12142017-09-22
USD0.33082017-06-23
USD0.10012017-03-24
20163.70%USD 1.393USD1.04712016-12-15
USD0.10442016-09-23
USD0.14252016-06-23
USD0.0992016-03-23
20152.88%USD 1.083USD0.67372015-12-15
USD0.09372015-09-23
USD0.09942015-06-23
USD0.2162015-03-24
20144.47%USD 1.681USD1.39742014-12-16
USD0.09612014-09-23
USD0.09392014-06-23
USD0.09312014-03-24
20130.96%USD 0.362USD0.11222013-12-16
USD0.08282013-09-23
USD0.07652013-06-21
USD0.09072013-03-21
20121.01%USD 0.378USD0.1722012-12-17
USD0.07372012-09-21
USD0.06572012-06-22
USD0.0672012-03-23
20110.77%USD 0.289USD0.10752011-12-15
USD0.06332011-09-23
USD0.06082011-06-23
USD0.05762011-03-24
20100.69%USD 0.259USD0.08542010-12-15
USD0.062010-09-23
USD0.05572010-06-23
USD0.05782010-03-24
20090.72%USD 0.27USD0.05912009-12-16
USD0.06272009-09-23
USD0.06342009-06-23
USD0.08492009-03-24
20080.81%USD 0.306USD0.07742008-12-16
USD0.07252008-09-23
USD0.07232008-06-23
USD0.0842008-03-24
20070.80%USD 0.302USD0.07912007-12-14
USD0.07752007-09-21
USD0.07472007-06-22
USD0.07112007-03-23
20060.73%USD 0.274USD0.082006-12-15
USD0.072006-09-22
USD0.0632006-06-23
USD0.0612006-03-24
20050.59%USD 0.221USD0.0592005-12-20
USD0.062005-09-23
USD0.0522005-06-23
USD0.052005-03-24
20040.64%USD 0.239USD0.1042004-12-20
USD0.0452004-09-23
USD0.0452004-06-23
USD0.0452004-03-24
20030.48%USD 0.18USD0.052003-12-19
USD0.052003-09-23
USD0.042003-06-23
USD0.042003-03-24
20020.45%USD 0.17USD0.052002-12-20
USD0.042002-09-23
USD0.042002-06-21
USD0.042002-03-21
20010.39%USD 0.146USD0.032001-12-20
USD0.0362001-09-21
USD0.042001-06-22
USD0.042001-03-28
20000.40%USD 0.15USD0.0352000-12-27
USD0.032000-09-27
USD0.042000-06-28
USD0.0452000-03-29