TIAA-CREF Intl Bond Fund Retail(TIBEX) USD 7.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202211.22%USD 0.888USD0.357322022-12-09
USD0.335052022-09-23
USD0.159272022-06-17
USD0.035912022-03-18
20212.04%USD 0.162USD0.161512021-12-10
20203.12%USD 0.247USD0.24682020-12-11
20196.35%USD 0.502USD0.256332019-12-06
USD0.175252019-09-20
USD0.070862019-06-12
20184.16%USD 0.329USD0.256752018-12-07
USD0.072342018-09-21
20171.54%USD 0.122USD0.063212017-12-08
USD0.058982017-03-24
20162.26%USD 0.179USD0.178562016-12-09