SIT DIVIDEND GROWTH FUND SIT DIVIDEND GROWTH FUND - CLASS I(SDVGX) USD 13.99
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.35%USD 0.049USD0.04862023-04-12
202211.67%USD 1.632USD1.485862022-12-15
USD0.032792022-10-11
USD0.065412022-07-12
USD0.048042022-04-12
202115.18%USD 2.123USD1.945172021-12-16
USD0.070762021-10-07
USD0.067182021-07-08
USD0.040012021-04-08
20207.69%USD 1.076USD0.913422020-12-17
USD0.054782020-10-08
USD0.057882020-07-09
USD0.050192020-04-09
201913.16%USD 1.841USD1.65152019-12-19
USD0.06732019-10-10
USD0.06252019-07-11
USD0.060022019-04-11
201822.60%USD 3.162USD2.901082018-12-19
USD0.131482018-10-10
USD0.073862018-07-11
USD0.0562018-04-11
201713.80%USD 1.931USD1.758942017-12-19
USD0.061072017-10-12
USD0.06092017-07-12
USD0.049932017-04-12
20169.27%USD 1.296USD1.112912016-12-15
USD0.053522016-10-12
USD0.062016-07-13
USD0.069982016-04-13
201515.26%USD 2.135USD1.961132015-12-17
USD0.062472015-10-08
USD0.069862015-07-09
USD0.042012015-04-09
201417.68%USD 2.474USD2.28452014-12-18
USD0.066962014-10-09
USD0.064022014-07-10
USD0.05842014-04-10
20136.35%USD 0.889USD0.700632013-12-18
USD0.06812013-10-09
USD0.058542013-07-10
USD0.061382013-04-10
20123.37%USD 0.471USD0.29962012-12-19
USD0.062892012-10-10
USD0.056192012-07-11
USD0.052662012-04-11
20112.10%USD 0.293USD0.1522011-12-16
USD0.05552011-10-07
USD0.045662011-07-08
USD0.04012011-04-08
20101.24%USD 0.174USD0.04632010-12-17
USD0.03752010-10-08
USD0.049722010-07-09
USD0.040042010-04-09
20091.37%USD 0.192USD0.048642009-12-18
USD0.042112009-10-08
USD0.048262009-07-10
USD0.052922009-04-08
20084.58%USD 0.641USD0.463352008-12-19
USD0.065852008-10-10
USD0.06382008-07-11
USD0.048182008-04-11
20076.58%USD 0.92USD0.754022007-12-18
USD0.049842007-10-05
USD0.058812007-07-10
USD0.057692007-04-10
20063.01%USD 0.422USD0.256332006-12-15
USD0.055752006-10-06
USD0.056712006-07-07
USD0.052952006-04-07
20052.65%USD 0.37USD0.202942005-12-15
USD0.066682005-10-07
USD0.049012005-07-08
USD0.051682005-04-08
20041.15%USD 0.161USD0.051212004-12-15
USD0.035022004-10-07
USD0.039832004-07-08
USD0.0352004-04-08