DEUTSCHE MULTI-ASSET CONSERVATIVE ALLOCATION FUND CLASS A(SPDAX) USD 12.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.13%USD 0.264USD0.0662022-12-29
USD0.06622022-09-29
USD0.06622022-06-29
USD0.06552022-03-30
20211.65%USD 0.205USD0.062021-12-30
USD0.06512021-09-29
USD0.04032021-06-29
USD0.03982021-03-30
20204.90%USD 0.609USD0.38132020-12-30
USD0.07472020-09-29
USD0.08612020-06-29
USD0.06652020-03-30
20192.21%USD 0.275USD0.05592019-12-30
USD0.0762019-09-27
USD0.08632019-06-27
USD0.05642019-03-28
20181.60%USD 0.198USD0.05672018-12-28
USD0.05612018-09-27
USD0.04772018-06-28
USD0.03772018-03-28
20171.69%USD 0.21USD0.07752017-12-28
USD0.05372017-09-28
USD0.02492017-06-29
USD0.05422017-03-30
20161.75%USD 0.217USD0.08722016-12-29
USD0.0382016-09-29
USD0.03822016-06-29
USD0.0542016-03-30
20153.09%USD 0.383USD0.08832015-12-30
USD0.07782015-09-29
USD0.10972015-06-29
USD0.10742015-03-30
20142.57%USD 0.319USD0.11952014-12-30
USD0.05962014-09-29
USD0.07972014-06-27
USD0.05972014-03-28
20132.01%USD 0.249USD0.07312013-12-30
USD0.05972013-09-27
USD0.06442013-06-27
USD0.0522013-03-27
20121.71%USD 0.212USD0.06822012-12-28
USD0.04092012-09-27
USD0.05852012-06-28
USD0.04452012-03-29
20111.66%USD 0.206USD0.06152011-12-29
USD0.04882011-09-29
USD0.05072011-06-29
USD0.04462011-03-30
20101.73%USD 0.215USD0.05572010-12-30
USD0.02972010-09-29
USD0.05242010-06-29
USD0.07752010-03-30
20091.76%USD 0.218USD0.04792009-12-30
USD0.04112009-09-29
USD0.04892009-06-29
USD0.08022009-03-30
20084.63%USD 0.574USD0.1092008-12-30
USD0.06732008-09-29
USD0.0982008-06-27
USD0.29992008-03-28
20073.53%USD 0.438USD0.03472007-12-28
USD0.00752007-09-27
USD0.09282007-06-28
USD0.30322007-03-29
20063.18%USD 0.395USD0.20222006-12-28
USD0.05732006-09-28
USD0.05772006-06-29
USD0.07762006-03-30
20052.34%USD 0.291USD0.1332005-12-29
USD0.0522005-09-29
USD0.0532005-06-29
USD0.0532005-03-30
20041.97%USD 0.244USD0.0832004-12-29
USD0.0532004-09-29
USD0.0542004-06-29
USD0.0542004-03-30
20031.73%USD 0.215USD0.0542003-12-30
USD0.0412003-09-29
USD0.0482003-06-27
USD0.0722003-03-28
20021.76%USD 0.219USD0.0542002-12-30
USD0.0512002-09-27
USD0.0532002-06-27
USD0.0612002-03-27
20012.11%USD 0.262USD0.0672001-12-28
USD0.0622001-09-27
USD0.0622001-06-28
USD0.0712001-03-30