DEUTSCHE CORE PLUS INCOME FUND INSTITUTIONAL CLASS(SZIIX) USD 9.39
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.88%USD 0.082USD0.02912023-03-24
USD0.0272023-02-21
USD0.02612023-01-24
20223.08%USD 0.289USD0.02612022-12-08
USD0.0262022-11-22
USD0.02512022-10-24
USD0.02512022-09-23
USD0.02422022-08-24
USD0.02322022-07-22
USD0.02312022-06-23
USD0.02322022-05-23
USD0.02322022-04-22
USD0.02332022-03-24
USD0.02322022-02-18
USD0.02342022-01-24
20212.95%USD 0.277USD0.02342021-12-08
USD0.02332021-11-22
USD0.02342021-10-22
USD0.02342021-09-23
USD0.02342021-08-24
USD0.02342021-07-23
USD0.02342021-06-23
USD0.02292021-05-21
USD0.0232021-04-23
USD0.0232021-03-24
USD0.02242021-02-19
USD0.02162021-01-22
20202.81%USD 0.264USD0.02162020-12-08
USD0.02152020-11-20
USD0.02162020-10-23
USD0.02162020-09-23
USD0.02162020-08-24
USD0.02162020-07-24
USD0.02162020-06-23
USD0.02162020-05-21
USD0.02132020-04-23
USD0.02332020-03-24
USD0.02332020-02-21
USD0.02342020-01-24
20194.07%USD 0.382USD0.02342019-12-09
USD0.02332019-11-21
USD0.02842019-10-24
USD0.02832019-09-23
USD0.03642019-08-23
USD0.03572019-07-24
USD0.03572019-06-21
USD0.03562019-05-23
USD0.03562019-04-23
USD0.03372019-03-22
USD0.03312019-02-21
USD0.03312019-01-24
20184.12%USD 0.387USD0.03312018-12-10
USD0.03312018-11-23
USD0.03262018-10-24
USD0.03272018-09-21
USD0.03272018-08-24
USD0.03282018-07-24
USD0.03282018-06-22
USD0.03182018-05-23
USD0.03182018-04-23
USD0.03182018-03-22
USD0.03072018-02-21
USD0.03082018-01-24
20173.65%USD 0.343USD0.03082017-12-08
USD0.03082017-11-22
USD0.03062017-10-24
USD0.03052017-09-22
USD0.03052017-08-24
USD0.03062017-07-24
USD0.02952017-06-23
USD0.02762017-05-23
USD0.02752017-04-21
USD0.02562017-03-24
USD0.02452017-02-21
USD0.02462017-01-24
20162.85%USD 0.268USD0.02452016-12-08
USD0.02352016-11-22
USD0.02362016-10-24
USD0.02262016-09-23
USD0.02262016-08-24
USD0.02162016-07-22
USD0.02152016-06-23
USD0.02162016-05-23
USD0.02162016-04-22
USD0.02162016-03-23
USD0.02152016-02-22
USD0.02162016-01-22
20153.58%USD 0.337USD0.02152015-12-08
USD0.02852015-11-20
USD0.02862015-10-23
USD0.02872015-09-23
USD0.02872015-08-24
USD0.02872015-07-24
USD0.02872015-06-23
USD0.02872015-05-21
USD0.02872015-04-23
USD0.02862015-03-24
USD0.02852015-02-20
USD0.02862015-01-23
20143.63%USD 0.341USD0.03372014-12-09
USD0.02862014-11-20
USD0.02862014-10-24
USD0.02862014-09-23
USD0.02872014-08-22
USD0.02872014-07-24
USD0.02772014-06-23
USD0.02772014-05-22
USD0.02772014-04-23
USD0.02772014-03-24
USD0.02762014-02-21
USD0.02572014-01-24
20133.36%USD 0.315USD0.02572013-12-09
USD0.02572013-11-21
USD0.02572013-10-24
USD0.02572013-09-23
USD0.02572013-08-23
USD0.02572013-07-24
USD0.02572013-06-21
USD0.02572013-05-23
USD0.02572013-04-23
USD0.02572013-03-21
USD0.02922013-02-21
USD0.02922013-01-24
20123.76%USD 0.353USD0.02922012-12-10
USD0.02922012-11-23
USD0.02922012-10-24
USD0.02962012-09-21
USD0.02962012-08-24
USD0.02962012-07-24
USD0.02962012-06-22
USD0.02962012-05-23
USD0.02962012-04-23
USD0.02942012-03-23
USD0.02932012-02-22
USD0.02942012-01-24
20113.96%USD 0.372USD0.02942011-12-08
USD0.02942011-11-22
USD0.02942011-10-24
USD0.03362011-09-23
USD0.03362011-08-24
USD0.03162011-07-22
USD0.03152011-06-23
USD0.03162011-05-23
USD0.03162011-04-21
USD0.03142011-03-24
USD0.03132011-02-18
USD0.02792011-01-24
20104.40%USD 0.413USD0.02792010-12-08
USD0.02792010-11-22
USD0.0282010-10-22
USD0.02922010-09-23
USD0.02922010-08-24
USD0.02922010-07-23
USD0.02922010-06-23
USD0.03422010-05-21
USD0.032010-04-30
USD0.03562010-04-23
USD0.03562010-03-24
USD0.03642010-02-19
USD0.04062010-01-22
20095.69%USD 0.534USD0.04052009-12-09
USD0.04052009-11-20
USD0.04052009-10-23
USD0.0412009-09-23
USD0.04052009-08-24
USD0.04052009-07-24
USD0.04052009-06-23
USD0.04392009-05-21
USD0.04392009-04-23
USD0.05422009-03-24
USD0.0542009-02-20
USD0.05422009-01-23
20087.31%USD 0.686USD0.09332008-12-10
USD0.05422008-11-20
USD0.05442008-10-24
USD0.05462008-09-23
USD0.05482008-08-22
USD0.05472008-07-24
USD0.05412008-06-23
USD0.05422008-05-22
USD0.05412008-04-23
USD0.05262008-03-24
USD0.05252008-02-22
USD0.05272008-01-24
20076.68%USD 0.627USD0.05262007-12-10
USD0.05262007-11-23
USD0.05262007-10-24
USD0.0522007-09-21
USD0.05212007-08-24
USD0.05212007-07-24
USD0.0522007-06-22
USD0.05092007-05-23
USD0.05252007-04-23
USD0.05262007-03-23
USD0.05242007-02-21
USD0.05262007-01-24
20066.76%USD 0.635USD0.0772006-12-11
USD0.05092006-11-22
USD0.05182006-10-24
USD0.05182006-09-22
USD0.05032006-08-24
USD0.05032006-07-24
USD0.05072006-06-23
USD0.05032006-05-23
USD0.05022006-04-21
USD0.05032006-03-24
USD0.05062006-02-21
USD0.0512006-01-24
20056.74%USD 0.633USD0.0752005-12-14
USD0.0512005-11-22
USD0.0512005-10-24
USD0.052005-09-23
USD0.052005-08-24
USD0.052005-07-22
USD0.0512005-06-23
USD0.052005-05-23
USD0.0512005-04-22
USD0.0512005-03-24
USD0.0512005-02-22
USD0.0522005-01-24
20042.28%USD 0.214USD0.0582004-12-14
USD0.0522004-11-22
USD0.0522004-10-26
USD0.0522004-09-23