DEUTSCHE MULTI-ASSET CONSERVATIVE ALLOCATION FUND CLASS C(SPDCX) USD 12.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.37%USD 0.17USD0.04322022-12-29
USD0.04392022-09-29
USD0.04322022-06-29
USD0.04012022-03-30
20210.76%USD 0.095USD0.0322021-12-30
USD0.03712021-09-29
USD0.01252021-06-29
USD0.0132021-03-30
20204.09%USD 0.508USD0.35372020-12-30
USD0.04872020-09-29
USD0.06132020-06-29
USD0.04382020-03-30
20191.40%USD 0.174USD0.02962019-12-30
USD0.05052019-09-27
USD0.06132019-06-27
USD0.03222019-03-28
20180.82%USD 0.102USD0.03362018-12-28
USD0.03122018-09-27
USD0.02352018-06-28
USD0.01382018-03-28
20170.92%USD 0.114USD0.05242017-12-28
USD0.02922017-09-28
USD0.00112017-06-29
USD0.03122017-03-30
20161.02%USD 0.127USD0.06412016-12-29
USD0.01482016-09-29
USD0.01592016-06-29
USD0.03192016-03-30
20152.34%USD 0.291USD0.06542015-12-30
USD0.05562015-09-29
USD0.08592015-06-29
USD0.08372015-03-30
20141.80%USD 0.223USD0.09532014-12-30
USD0.03582014-09-29
USD0.05562014-06-27
USD0.03662014-03-28
20131.28%USD 0.159USD0.04962013-12-30
USD0.03682013-09-27
USD0.04282013-06-27
USD0.03012013-03-27
20121.03%USD 0.128USD0.04652012-12-28
USD0.01942012-09-27
USD0.03842012-06-28
USD0.02352012-03-29
20111.01%USD 0.126USD0.04172011-12-29
USD0.02972011-09-29
USD0.03012011-06-29
USD0.0242011-03-30
20101.12%USD 0.14USD0.03522010-12-30
USD0.0112010-09-29
USD0.03492010-06-29
USD0.05842010-03-30
20091.21%USD 0.15USD0.02892009-12-30
USD0.02272009-09-29
USD0.03262009-06-29
USD0.06582009-03-30
20084.00%USD 0.497USD0.09372008-12-30
USD0.04792008-09-29
USD0.0772008-06-27
USD0.2782008-03-28
20072.91%USD 0.361USD0.01152007-12-28
USD0.06982007-06-28
USD0.282007-03-29
20062.47%USD 0.307USD0.17872006-12-28
USD0.03462006-09-28
USD0.03692006-06-29
USD0.05632006-03-30
20051.71%USD 0.212USD0.1112005-12-29
USD0.032005-09-29
USD0.0322005-06-29
USD0.0392005-03-30
20041.30%USD 0.161USD0.0622004-12-29
USD0.0332004-09-29
USD0.0332004-06-29
USD0.0332004-03-30
20031.10%USD 0.136USD0.0332003-12-30
USD0.0212003-09-29
USD0.0282003-06-27
USD0.0542003-03-28
20021.18%USD 0.147USD0.0372002-12-30
USD0.0342002-09-27
USD0.0352002-06-27
USD0.0412002-03-27
20011.47%USD 0.182USD0.0472001-12-28
USD0.0432001-09-27
USD0.0412001-06-28
USD0.0512001-03-30