TIAA-CREF INFLATION-LINKED BOND FUND INSTITUTIONAL CLASS(TIILX) USD 10.66
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.39%USD 0.894USD0.234372022-12-09
USD0.259792022-09-23
USD0.265492022-06-17
USD0.134372022-03-18
20217.17%USD 0.764USD0.389132021-12-10
USD0.179772021-09-17
USD0.159572021-06-18
USD0.0362021-03-19
20201.47%USD 0.157USD0.086492020-12-11
USD0.0172020-09-18
USD0.02762020-06-19
USD0.025832020-03-20
20192.00%USD 0.213USD0.061792019-12-06
USD0.077032019-09-20
USD0.07412019-06-12
20182.67%USD 0.284USD0.115032018-12-07
USD0.095832018-09-21
USD0.073552018-06-22
20172.13%USD 0.227USD0.227072017-12-08
20161.66%USD 0.177USD0.176782016-12-09
20150.34%USD 0.037USD0.03672015-12-11
20142.22%USD 0.237USD0.01092014-12-12
USD0.061122014-09-26
USD0.150932014-06-27
USD0.014012014-03-28
20131.52%USD 0.162USD0.02492013-12-13
USD0.057042013-09-20
USD0.079752013-06-21
20123.26%USD 0.347USD0.132492012-12-07
USD0.173342012-06-29
USD0.041592012-03-30
20114.45%USD 0.475USD0.042292011-12-09
USD0.075352011-09-23
USD0.240812011-06-24
USD0.116272011-03-25
20102.21%USD 0.236USD0.049552010-12-10
USD0.034722010-09-24
USD0.096112010-06-25
USD0.055142010-03-26
20090.70%USD 0.074USD0.07392009-12-11
USD0.00042009-09-25
20085.97%USD 0.636USD0.273592008-09-29
USD0.211822008-06-27
USD0.150992008-03-28
20074.30%USD 0.459USD0.056992007-12-14
USD0.125112007-09-26
USD0.241462007-06-27
USD0.03532007-03-28
20063.25%USD 0.346USD0.142982006-09-27
USD0.20352006-06-28
20055.38%USD 0.573USD0.2212005-12-23
USD0.08522005-09-28
USD0.238012005-06-28
USD0.029182005-03-29
20045.53%USD 0.59USD0.256842004-12-29
USD0.109442004-09-28
USD0.172732004-06-28
USD0.050762004-03-29
20033.85%USD 0.41USD0.181942003-12-29
USD0.046942003-09-26
USD0.127192003-06-30
USD0.0542003-03-31
20020.58%USD 0.062USD0.061782002-12-27