DEUTSCHE CORE EQUITY FUND INSTITUTIONAL CLASS(SUWIX) USD 28.02
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.22%USD 0.062USD0.0622023-03-24
20228.60%USD 2.411USD2.22012022-12-15
USD0.06672022-09-23
USD0.06672022-06-23
USD0.05732022-03-24
202116.89%USD 4.733USD4.50922021-12-15
USD0.06652021-09-23
USD0.08432021-06-23
USD0.07322021-03-24
20207.35%USD 2.058USD1.79122020-12-15
USD0.08962020-09-23
USD0.09442020-06-23
USD0.08312020-03-24
20195.16%USD 1.445USD1.17062019-12-16
USD0.09592019-09-23
USD0.09372019-06-21
USD0.08492019-03-22
201811.53%USD 3.23USD2.995192018-12-17
USD0.08482018-09-21
USD0.08482018-06-22
USD0.06542018-03-22
20176.08%USD 1.703USD1.47272017-12-15
USD0.08472017-09-22
USD0.07452017-06-23
USD0.07082017-03-24
20165.99%USD 1.68USD1.47682016-12-15
USD0.07552016-09-23
USD0.06152016-06-23
USD0.06572016-03-23
20157.33%USD 2.054USD1.88492015-12-15
USD0.05622015-09-23
USD0.05652015-06-23
USD0.05642015-03-24
20145.91%USD 1.657USD1.51152014-12-16
USD0.05652014-09-23
USD0.03842014-06-23
USD0.05032014-03-24
20136.41%USD 1.797USD1.57222013-12-16
USD0.07162013-09-23
USD0.07592013-06-21
USD0.07682013-03-21
20121.16%USD 0.326USD0.00922012-12-31
USD0.1622012-12-17
USD0.05772012-09-21
USD0.05092012-06-22
USD0.04652012-03-23
20110.83%USD 0.233USD0.09632011-12-15
USD0.05272011-09-23
USD0.04182011-06-23
USD0.04212011-03-24
20100.79%USD 0.221USD0.05322010-12-15
USD0.0572010-09-23
USD0.06162010-06-23
USD0.04922010-03-24
20090.82%USD 0.231USD0.06952009-12-16
USD0.05372009-09-23
USD0.0542009-06-23
USD0.05392009-03-24
20080.78%USD 0.219USD0.072008-12-16
USD0.04892008-09-23
USD0.052008-06-23
USD0.05012008-03-24
200715.55%USD 4.357USD4.11542007-12-14
USD0.06622007-09-21
USD0.07242007-06-22
USD0.10272007-03-23
20068.92%USD 2.5USD2.32132006-12-15
USD0.05172006-09-22
USD0.05292006-06-23
USD0.07452006-03-24
20050.89%USD 0.249USD0.0552005-12-20
USD0.0472005-09-23
USD0.0552005-06-23
USD0.0922005-03-24
20040.88%USD 0.247USD0.1362004-12-16
USD0.0382004-09-23
USD0.042004-06-23
USD0.0332004-03-24
20030.42%USD 0.119USD0.0332003-12-17
USD0.0222003-09-23
USD0.0332003-06-23
USD0.0312003-03-24