SIMT US MANAGED VOLATILITY FUND SIMT US MANAGED VOLATILITY FUND - CLASS F EFFECTIVE 1-31-2017 (FORMERLY CLASS A)(SVOAX) USD 15.47
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.46%USD 0.072USD0.07162023-04-04
202210.98%USD 1.699USD0.05812022-12-28
USD1.43142022-12-15
USD0.0752022-10-05
USD0.0542022-07-06
USD0.08042022-04-05
202120.60%USD 3.187USD0.10582021-12-29
USD1.48722021-12-15
USD0.05362021-10-04
USD0.06112021-07-06
USD0.08682021-04-05
USD1.39232021-02-09
20201.65%USD 0.256USD0.07072020-12-29
USD0.00692020-12-10
USD0.04382020-10-05
USD0.05272020-07-06
USD0.08142020-04-06
20195.44%USD 0.841USD0.07832019-12-27
USD0.52592019-12-12
USD0.0782019-10-07
USD0.0832019-07-08
USD0.07572019-04-08
201813.64%USD 2.11USD0.0882018-12-27
USD1.82642018-12-13
USD0.06562018-10-03
USD0.06352018-07-06
USD0.0662018-04-05
201710.55%USD 1.632USD0.06892017-12-27
USD1.3642017-12-13
USD0.06712017-10-04
USD0.06782017-07-06
USD0.06452017-04-06
20164.77%USD 0.739USD0.06652016-12-28
USD0.48732016-12-14
USD0.05632016-10-05
USD0.05292016-07-06
USD0.07562016-04-06
20156.73%USD 1.042USD0.06922015-12-29
USD0.79532015-12-10
USD0.06112015-10-02
USD0.05612015-07-07
USD0.05992015-04-01
201413.66%USD 2.113USD0.06332014-12-29
USD1.86992014-12-09
USD0.06572014-10-02
USD0.06782014-07-02
USD0.04652014-03-27
20139.39%USD 1.453USD0.05262013-12-27
USD1.21012013-12-10
USD0.06472013-10-02
USD0.07322013-07-02
USD0.05272013-03-26
20122.36%USD 0.366USD0.07462012-12-27
USD0.11822012-12-11
USD0.06652012-10-02
USD0.05962012-07-03
USD0.04682012-03-28
20111.07%USD 0.165USD0.04932011-12-28
USD0.04262011-10-04
USD0.03812011-07-05
USD0.03542011-03-29
20100.92%USD 0.143USD0.0442010-12-29
USD0.03042010-10-04
USD0.042010-07-02
USD0.02862010-03-29
20090.94%USD 0.145USD0.04282009-12-29
USD0.03012009-10-02
USD0.03752009-07-02
USD0.03492009-03-27
20080.74%USD 0.115USD0.03222008-12-29
USD0.03282008-10-02
USD0.02782008-07-02
USD0.0222008-03-27
20074.16%USD 0.644USD0.02382007-12-27
USD0.50632007-12-05
USD0.02142007-10-02
USD0.06822007-07-02
USD0.02382007-03-28
20062.68%USD 0.414USD0.02632006-12-27
USD0.32012006-12-06
USD0.02622006-10-02
USD0.02292006-07-03
USD0.01842006-03-28
20051.64%USD 0.253USD0.0312005-12-27
USD0.15062005-12-07
USD0.02192005-10-03
USD0.02582005-07-01
USD0.02412005-03-28
20040.18%USD 0.027USD0.02742004-12-30