TIAA-CREF INFLATION-LINKED BOND FUND PREMIER CLASS(TIKPX) USD 10.64
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.24%USD 0.877USD0.230172022-12-09
USD0.255432022-09-23
USD0.261322022-06-17
USD0.129652022-03-18
20217.01%USD 0.746USD0.384492021-12-10
USD0.175082021-09-17
USD0.154982021-06-18
USD0.031542021-03-19
20201.30%USD 0.139USD0.081392020-12-11
USD0.012562020-09-18
USD0.023562020-06-19
USD0.021252020-03-20
20192.34%USD 0.249USD0.057442019-12-06
USD0.072642019-09-20
USD0.064862019-06-12
USD0.0272019-03-29
USD0.0272019-02-28
20182.42%USD 0.258USD0.110842018-12-07
USD0.091492018-09-21
USD0.055662018-06-22
20171.97%USD 0.21USD0.210022017-12-08
20161.50%USD 0.16USD0.159562016-12-09
20150.23%USD 0.025USD0.024682015-12-11
20142.11%USD 0.224USD0.01092014-12-12
USD0.056912014-09-26
USD0.146462014-06-27
USD0.009742014-03-28
20131.38%USD 0.147USD0.020372013-12-13
USD0.051782013-09-20
USD0.075012013-06-21
20123.13%USD 0.333USD0.127872012-12-07
USD0.168672012-06-29
USD0.036792012-03-30
20114.31%USD 0.458USD0.037842011-12-09
USD0.071032011-09-23
USD0.237052011-06-24
USD0.112452011-03-25
20102.07%USD 0.221USD0.045212010-12-10
USD0.031972010-09-24
USD0.092342010-06-25
USD0.050992010-03-26
20090.66%USD 0.07USD0.069862009-12-11