DEUTSCHE ENHANCED EMERGING MARKETS FIXED INCOME FUND CLASS C(SZECX) USD 6.59
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.42%USD 0.094USD0.09382023-03-24
20225.64%USD 0.372USD0.09312022-12-08
USD0.09362022-09-23
USD0.09332022-06-23
USD0.09152022-03-24
20215.11%USD 0.337USD0.09222021-12-08
USD0.08612021-09-23
USD0.08132021-06-23
USD0.07712021-03-24
20205.03%USD 0.332USD0.08632020-12-08
USD0.08732020-09-23
USD0.06882020-06-23
USD0.08932020-03-24
20194.55%USD 0.3USD0.07632019-12-09
USD0.07222019-09-23
USD0.06792019-06-21
USD0.08352019-03-22
20184.28%USD 0.282USD0.07442018-12-10
USD0.06152018-09-21
USD0.05852018-06-22
USD0.08762018-03-22
20174.10%USD 0.27USD0.08592017-12-08
USD0.07052017-09-22
USD0.05642017-06-23
USD0.05712017-03-24
20165.43%USD 0.358USD0.08712016-12-08
USD0.0862016-09-23
USD0.09212016-06-23
USD0.09252016-03-23
20155.37%USD 0.354USD0.08942015-12-08
USD0.08912015-09-23
USD0.08772015-06-23
USD0.08782015-03-24
20144.62%USD 0.305USD0.08592014-12-09
USD0.07932014-09-23
USD0.06892014-06-23
USD0.07042014-03-24
20134.24%USD 0.279USD0.06582013-12-09
USD0.06542013-09-23
USD0.07012013-06-21
USD0.07812013-03-21
20124.85%USD 0.32USD0.06592012-12-10
USD0.06642012-09-21
USD0.08382012-06-22
USD0.10372012-03-23
20115.90%USD 0.389USD0.10022011-12-08
USD0.10222011-09-23
USD0.09332011-06-23
USD0.09332011-03-24
20106.41%USD 0.422USD0.10252010-12-08
USD0.10242010-09-23
USD0.10352010-06-23
USD0.11382010-03-24
20099.48%USD 0.625USD0.15492009-12-09
USD0.15422009-09-23
USD0.15682009-06-23
USD0.15882009-03-24
200813.24%USD 0.873USD0.44832008-12-10
USD0.14262008-09-23
USD0.14112008-06-23
USD0.14072008-03-24
20078.44%USD 0.556USD0.14042007-12-10
USD0.14062007-09-21
USD0.13742007-06-22
USD0.13762007-03-23
20069.15%USD 0.603USD0.27632006-12-11
USD0.11292006-09-22
USD0.11282006-06-23
USD0.10132006-03-24
20058.86%USD 0.584USD0.2742005-12-14
USD0.1012005-09-23
USD0.1032005-06-23
USD0.1062005-03-24
20046.31%USD 0.416USD0.1022004-12-14
USD0.1042004-09-23
USD0.1062004-06-23
USD0.1042004-03-24
20037.16%USD 0.472USD0.1042003-12-15
USD0.1252003-09-23
USD0.1152003-06-23
USD0.1282003-03-24
20028.83%USD 0.582USD0.1392002-12-13
USD0.1252002-09-23
USD0.152002-06-21
USD0.1682002-03-21
20015.68%USD 0.374USD0.1842001-12-17
USD0.192001-09-21