SIMT MID CAP FUND SIMT MID CAP FUND - CLASS I(SIPIX) USD 25.32
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.14%USD 0.037USD0.03662023-04-04
20220.52%USD 0.133USD0.05172022-12-28
USD0.04292022-10-05
USD0.02172022-07-06
USD0.01652022-04-05
202122.83%USD 5.781USD0.04182021-12-29
USD5.68352021-12-15
USD0.01112021-07-07
USD0.01112021-07-06
USD0.03372021-04-05
20201.02%USD 0.258USD0.06052020-12-29
USD0.05192020-10-05
USD0.03432020-07-06
USD0.11112020-04-06
20192.00%USD 0.507USD0.04742019-12-27
USD0.33692019-12-12
USD0.0522019-10-07
USD0.04712019-07-08
USD0.02382019-04-08
201811.64%USD 2.947USD0.04782018-12-27
USD2.78452018-12-13
USD0.03312018-10-03
USD0.04472018-07-06
USD0.03722018-04-05
20178.46%USD 2.142USD0.02862017-12-27
USD2.0342017-12-13
USD0.02862017-10-04
USD0.00942017-07-06
USD0.04162017-04-06
20161.42%USD 0.358USD0.02622016-12-28
USD0.18962016-12-14
USD0.02932016-10-05
USD0.03152016-07-06
USD0.08172016-04-06
201516.05%USD 4.065USD0.12862015-12-29
USD3.86572015-12-10
USD0.03742015-10-02
USD0.01852015-07-07
USD0.01472015-04-01
201410.55%USD 2.671USD2.66882014-12-09
USD0.00192014-03-27
20133.09%USD 0.783USD0.00682013-12-27
USD0.74362013-12-10
USD0.02712013-07-02
USD0.00552013-03-26
20120.35%USD 0.088USD0.04032012-12-27
USD0.01212012-10-02
USD0.03592012-07-03
20110.19%USD 0.049USD0.01842011-12-28
USD0.00722011-10-04
USD0.01362011-07-05
USD0.00992011-03-29
20100.13%USD 0.032USD0.02032010-10-04
USD0.01152010-07-02
USD0.00052010-03-29
20090.36%USD 0.091USD0.01632009-12-29
USD0.0222009-10-30
USD0.01312009-10-02
USD0.03952009-03-27
20080.33%USD 0.084USD0.03262008-12-29
USD0.02842008-10-02
USD0.02192008-07-02
USD0.00072008-03-27
20078.32%USD 2.108USD0.01772007-12-27
USD2.08982007-12-05