SAAT CONSERVATIVE STRATEGY ALLOCATION FUND SAAT CONSERVATIVE STRATEGY ALLOCATION FUND - CLASS F EFFECTIVE 1-31-2017 (FORMERLY CLASS A)(SMGAX) USD 11.82
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.24%USD 0.146USD0.14632023-04-05
20225.83%USD 0.69USD0.4112022-12-29
USD0.09932022-10-06
USD0.08672022-07-07
USD0.09252022-04-06
20214.52%USD 0.534USD0.25072021-12-30
USD0.07032021-10-05
USD0.07582021-07-07
USD0.13742021-04-06
20203.42%USD 0.404USD0.17322020-12-30
USD0.06352020-10-06
USD0.0762020-07-07
USD0.09152020-04-07
201910.12%USD 1.196USD0.16422019-12-30
USD0.74142019-12-13
USD0.10062019-10-08
USD0.08362019-07-09
USD0.10582019-04-09
20189.94%USD 1.175USD0.22042018-12-28
USD0.69012018-12-14
USD0.09172018-10-04
USD0.07672018-07-09
USD0.09572018-04-06
20178.12%USD 0.96USD0.22042017-12-28
USD0.42342017-12-14
USD0.11932017-10-05
USD0.09752017-07-07
USD0.09942017-04-07
201615.19%USD 1.795USD0.19862016-12-29
USD1.27682016-12-15
USD0.12212016-10-06
USD0.1022016-07-07
USD0.09542016-04-07
20157.58%USD 0.896USD0.18522015-12-30
USD0.43512015-12-11
USD0.08392015-10-05
USD0.10442015-07-08
USD0.08742015-04-02
20144.76%USD 0.563USD0.28262014-12-30
USD0.09662014-10-03
USD0.10752014-07-03
USD0.0762014-03-28
20133.80%USD 0.449USD0.20742013-12-30
USD0.07822013-10-03
USD0.09152013-07-03
USD0.07212013-03-27
20123.06%USD 0.362USD0.10042012-12-28
USD0.10082012-10-03
USD0.08752012-07-05
USD0.07352012-03-29
20112.78%USD 0.329USD0.10482011-12-29
USD0.07572011-10-05
USD0.07772011-07-06
USD0.07082011-03-30
20103.28%USD 0.388USD0.13362010-12-30
USD0.07252010-10-05
USD0.10892010-07-06
USD0.07312010-03-30
20093.13%USD 0.37USD0.12322009-12-30
USD0.08082009-10-05
USD0.05682009-07-06
USD0.10942009-03-30
20085.21%USD 0.616USD0.11892008-12-30
USD0.1842008-12-05
USD0.11362008-10-03
USD0.10652008-07-03
USD0.09252008-03-28
20076.63%USD 0.783USD0.30612007-12-28
USD0.15912007-12-06
USD0.09622007-10-03
USD0.11872007-07-03
USD0.10312007-03-29
20065.48%USD 0.648USD0.22772006-12-28
USD0.15552006-12-07
USD0.09042006-10-03
USD0.09812006-07-05
USD0.0762006-03-29
20052.30%USD 0.272USD0.08822005-12-28
USD0.18362005-12-08