DEUTSCHE ENHANCED EMERGING MARKETS FIXED INCOME FUND INSTITUTIONAL CLASS(SZEIX) USD 6.56
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.67%USD 0.11USD0.10982023-03-24
20226.70%USD 0.44USD0.112022-12-08
USD0.10982022-09-23
USD0.10982022-06-23
USD0.10992022-03-24
20216.55%USD 0.43USD0.11492021-12-08
USD0.10992021-09-23
USD0.10492021-06-23
USD0.09992021-03-24
20206.37%USD 0.418USD0.10992020-12-08
USD0.112020-09-23
USD0.09072020-06-23
USD0.10752020-03-24
20195.98%USD 0.393USD0.09972019-12-09
USD0.09562019-09-23
USD0.09112019-06-21
USD0.10612019-03-22
20185.67%USD 0.372USD0.09612018-12-10
USD0.08362018-09-21
USD0.08112018-06-22
USD0.11122018-03-22
20175.67%USD 0.372USD0.11172017-12-08
USD0.09662017-09-22
USD0.08182017-06-23
USD0.08182017-03-24
20166.96%USD 0.457USD0.11082016-12-08
USD0.1112016-09-23
USD0.11742016-06-23
USD0.11742016-03-23
20157.01%USD 0.46USD0.1152015-12-08
USD0.1152015-09-23
USD0.1152015-06-23
USD0.1152015-03-24
20146.48%USD 0.425USD0.1152014-12-09
USD0.112014-09-23
USD0.12014-06-23
USD0.12014-03-24
20136.10%USD 0.4USD0.0952013-12-09
USD0.0952013-09-23
USD0.12013-06-21
USD0.112013-03-21
20126.81%USD 0.447USD0.09962012-12-10
USD0.09952012-09-21
USD0.11392012-06-22
USD0.1342012-03-23
20117.79%USD 0.511USD0.12972011-12-08
USD0.13162011-09-23
USD0.12492011-06-23
USD0.1252011-03-24
20108.36%USD 0.548USD0.1352010-12-08
USD0.13522010-09-23
USD0.1342010-06-23
USD0.1442010-03-24
200911.19%USD 0.734USD0.18432009-12-09
USD0.18362009-09-23
USD0.18342009-06-23
USD0.18292009-03-24
200815.13%USD 0.992USD0.47162008-12-10
USD0.17472008-09-23
USD0.17312008-06-23
USD0.1732008-03-24