ALPS/Smith Total Return Bond Fund(SMTRX) USD 9.72
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.52%USD 0.051USD0.022672023-02-23
USD0.02832023-01-26
20224.07%USD 0.395USD0.025622022-12-23
USD0.023072022-11-17
USD0.027432022-10-27
USD0.019662022-09-29
USD0.0212022-08-25
USD0.02442022-07-27
USD0.02442022-07-26
USD0.019012022-06-23
USD0.019012022-06-22
USD0.022762022-05-26
USD0.022762022-05-25
USD0.020962022-04-27
USD0.020962022-04-26
USD0.0182022-03-24
USD0.0182022-03-23
USD0.022222022-02-24
USD0.022222022-02-23
USD0.023732022-01-27
20213.32%USD 0.323USD0.017762021-12-23
USD0.018972021-11-18
USD0.018612021-10-27
USD0.014482021-09-23
USD0.014482021-09-22
USD0.016542021-08-26
USD0.016542021-08-25
USD0.014412021-07-29
USD0.014412021-07-28
USD0.01392021-06-24
USD0.01392021-06-23
USD0.016432021-05-27
USD0.016432021-05-26
USD0.01362021-04-28
USD0.01362021-04-27
USD0.016422021-03-25
USD0.016422021-03-24
USD0.012982021-02-25
USD0.012982021-02-24
USD0.015042021-01-28
USD0.015042021-01-27
20203.90%USD 0.379USD0.207492020-12-24
USD0.015632020-11-19
USD0.015632020-10-28
USD0.015152020-09-24
USD0.016442020-08-27
USD0.018282020-07-30
USD0.017942020-06-25
USD0.015222020-05-28
USD0.012782020-04-23
USD0.014582020-03-26
USD0.0162020-02-27
USD0.013612020-01-30
20193.32%USD 0.322USD0.0152019-12-26
USD0.111322019-12-24
USD0.01462019-11-20
USD0.016522019-10-23
USD0.015022019-09-25
USD0.016152019-08-28
USD0.017672019-07-24
USD0.0172019-06-27
USD0.0122019-05-30
USD0.0222019-04-25
USD0.0232019-03-28
USD0.022019-02-21
USD0.0222019-01-24
20180.88%USD 0.086USD0.0132018-12-27
USD0.0222018-11-29
USD0.0192018-10-25
USD0.0172018-09-27
USD0.0152018-08-30