SIT EMERGING MARKETS DEBT FUND SIT EMERGING MARKETS DEBT FUND - CLASS F EFFECTIVE 1-31-2017 (FORMERLY CLASS A)(SITEX) USD 8.33
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.78%USD 0.065USD0.06462023-04-04
20221.57%USD 0.131USD0.13072022-12-28
20215.20%USD 0.433USD0.10142021-12-29
USD0.05662021-10-04
USD0.10032021-07-07
USD0.10032021-07-06
USD0.07452021-04-05
20200.49%USD 0.041USD0.01322020-12-29
USD0.01342020-10-05
USD0.01392020-04-06
20192.70%USD 0.225USD0.03142019-12-27
USD0.0322019-10-07
USD0.122019-07-08
USD0.04122019-04-08
20182.73%USD 0.228USD0.08822018-07-06
USD0.13932018-04-05
20174.82%USD 0.402USD0.2262017-12-27
USD0.11782017-10-04
USD0.0582017-07-06
20161.78%USD 0.148USD0.14812016-12-27
20150.54%USD 0.045USD0.0452015-07-06
20143.41%USD 0.284USD0.05512014-12-26
USD0.01032014-12-08
USD0.09062014-10-01
USD0.12832014-07-01
20135.45%USD 0.454USD0.09632013-12-26
USD0.06552013-12-09
USD0.08632013-10-01
USD0.09752013-07-01
USD0.10812013-03-26
201214.21%USD 1.184USD0.37122012-12-26
USD0.46362012-12-10
USD0.10482012-10-01
USD0.12272012-07-02
USD0.12152012-03-28
20118.31%USD 0.692USD0.232011-12-27
USD0.02462011-12-05
USD0.15862011-10-03
USD0.15292011-07-01
USD0.12632011-03-29
20105.23%USD 0.435USD0.03092010-10-01
USD0.22192010-07-01
USD0.18252010-03-29
20099.58%USD 0.798USD0.30412009-12-28
USD0.15262009-10-01
USD0.1752009-07-01
USD0.16672009-03-27
20088.56%USD 0.713USD0.24322008-12-26
USD0.16152008-10-01
USD0.15932008-07-01
USD0.14942008-03-27
200712.38%USD 1.031USD0.24832007-12-27
USD0.30882007-12-05
USD0.18352007-10-02
USD0.15032007-07-02
USD0.14032007-03-28
200615.57%USD 1.297USD0.20132006-12-27
USD0.66272006-12-06
USD0.15372006-10-02
USD0.12032006-07-03
USD0.15882006-03-28
200513.85%USD 1.154USD0.0562005-12-27
USD0.46622005-12-01
USD0.63182005-11-02
200410.75%USD 0.896USD0.62692004-12-30
USD0.26862004-12-08
200322.28%USD 1.856USD0.66222003-12-23
USD1.12612003-12-03
USD0.0322003-02-28
USD0.0362003-01-31
200210.69%USD 0.891USD0.76282002-12-26
USD0.042002-11-29
USD0.0452002-05-31
USD0.0432002-04-30
200113.99%USD 1.166USD0.99012001-12-26
USD0.17552001-12-05
200010.68%USD 0.89USD0.892000-12-22