SIIT U.S. MANAGED VOLATILITY FUND SIIT U.S. MANAGED VOLATILITY FUND - CLASS A(SVYAX) USD 11.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202212.31%USD 1.452USD0.07782022-12-29
USD1.13742022-12-16
USD0.07922022-10-06
USD0.06862022-07-07
USD0.08932022-04-06
202124.29%USD 2.867USD0.09432021-12-30
USD2.50642021-12-16
USD0.08762021-10-05
USD0.08542021-07-07
USD0.09282021-04-06
20202.56%USD 0.302USD0.08512020-12-30
USD0.01042020-12-11
USD0.06552020-10-06
USD0.0572020-07-07
USD0.08372020-04-07
20197.55%USD 0.891USD0.05012019-12-30
USD0.56842019-12-13
USD0.08512019-10-08
USD0.08612019-07-09
USD0.10142019-04-09
201818.95%USD 2.236USD0.09152018-12-28
USD1.89282018-12-14
USD0.09182018-10-04
USD0.07632018-07-09
USD0.08362018-04-06
201713.61%USD 1.606USD0.12952017-12-28
USD1.25532017-12-14
USD0.08562017-10-05
USD0.0882017-07-07
USD0.04792017-04-07
20168.74%USD 1.032USD0.08762016-12-29
USD0.67182016-12-15
USD0.08662016-10-06
USD0.07352016-07-07
USD0.11222016-04-07
20159.84%USD 1.161USD0.08282015-12-30
USD0.84112015-12-11
USD0.07662015-10-05
USD0.07512015-07-08
USD0.0852015-04-02
20142.73%USD 0.322USD0.08332014-12-30
USD0.0922014-10-03
USD0.08142014-07-03
USD0.06552014-03-28
201313.04%USD 1.539USD0.07342013-12-30
USD1.21822013-12-11
USD0.08772013-10-03
USD0.08372013-07-03
USD0.07622013-03-27
20124.41%USD 0.52USD0.08662012-12-28
USD0.2282012-12-12
USD0.07642012-10-03
USD0.06752012-07-05
USD0.06192012-03-29
20118.63%USD 1.019USD0.05812011-12-29
USD0.81162011-12-07
USD0.03872011-10-05
USD0.05262011-07-06
USD0.05772011-03-30
20100.97%USD 0.114USD0.0552010-12-30
USD0.0592010-10-05