DEUTSCHE CORE EQUITY FUND CLASS A(SUWAX) USD 27.52
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.16%USD 0.044USD0.04412023-03-24
20228.48%USD 2.334USD2.22022-12-15
USD0.04872022-09-23
USD0.04892022-06-23
USD0.03612022-03-24
202116.85%USD 4.637USD4.48422021-12-15
USD0.04172021-09-23
USD0.05992021-06-23
USD0.05132021-03-24
20207.19%USD 1.979USD1.76932020-12-15
USD0.06792020-09-23
USD0.0742020-06-23
USD0.06812020-03-24
20194.93%USD 1.357USD1.14842019-12-16
USD0.07342019-09-23
USD0.07172019-06-21
USD0.06392019-03-22
201811.41%USD 3.14USD2.973242018-12-17
USD0.06072018-09-21
USD0.06242018-06-22
USD0.04392018-03-22
20175.87%USD 1.616USD1.45042017-12-15
USD0.0622017-09-22
USD0.05292017-06-23
USD0.05042017-03-24
20165.81%USD 1.599USD1.4552016-12-15
USD0.0552016-09-23
USD0.04232016-06-23
USD0.04632016-03-23
20157.14%USD 1.965USD1.86372015-12-15
USD0.03462015-09-23
USD0.03332015-06-23
USD0.03342015-03-24
20145.69%USD 1.567USD1.48882014-12-16
USD0.03342014-09-23
USD0.01622014-06-23
USD0.02852014-03-24
20136.23%USD 1.715USD1.54962013-12-16
USD0.05122013-09-23
USD0.05732013-06-21
USD0.05652013-03-21
20120.92%USD 0.252USD0.00922012-12-31
USD0.14252012-12-17
USD0.03982012-09-21
USD0.03482012-06-22
USD0.0262012-03-23
20110.55%USD 0.152USD0.07792011-12-15
USD0.03392011-09-23
USD0.02062011-06-23
USD0.01912011-03-24
20100.49%USD 0.136USD0.03082010-12-15
USD0.03662010-09-23
USD0.04162010-06-23
USD0.02652010-03-24
20090.57%USD 0.156USD0.04742009-12-16
USD0.03172009-09-23
USD0.03642009-06-23
USD0.04062009-03-24
20080.52%USD 0.142USD0.05632008-12-16
USD0.02842008-09-23
USD0.02792008-06-23
USD0.02952008-03-24
200715.43%USD 4.247USD4.08652007-12-14
USD0.03742007-09-21
USD0.04382007-06-22
USD0.07962007-03-23
20068.73%USD 2.402USD2.29332006-12-15
USD0.02932006-09-22
USD0.03022006-06-23
USD0.0492006-03-24
20050.55%USD 0.15USD0.0292005-12-20
USD0.0192005-09-23
USD0.0312005-06-23
USD0.0712005-03-24
20040.56%USD 0.155USD0.1122004-12-16
USD0.0142004-09-23
USD0.0172004-06-23
USD0.0122004-03-24
20030.23%USD 0.063USD0.0122003-12-17
USD0.012003-09-23
USD0.0212003-06-23
USD0.022003-03-24
20020.33%USD 0.091USD0.0252002-12-18
USD0.0272002-09-23
USD0.0262002-06-21
USD0.0132002-03-21
20010.46%USD 0.126USD0.0172001-12-20
USD0.0192001-09-21
USD0.0352001-06-22
USD0.0552001-03-28