TIAA-CREF MANAGED ALLOCATION FUND INSTITUTIONAL CLASS(TIMIX) USD 10.94
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.48%USD 0.053USD0.052732023-03-17
20227.50%USD 0.82USD0.706922022-12-16
USD0.047292022-09-23
USD0.042762022-06-17
USD0.023062022-03-18
202114.11%USD 1.544USD1.421442021-12-17
USD0.043082021-09-17
USD0.038322021-06-18
USD0.040932021-03-19
202010.60%USD 1.16USD1.036892020-12-18
USD0.038022020-09-18
USD0.040622020-06-19
USD0.044272020-03-20
20192.60%USD 0.284USD0.158712019-12-13
USD0.03732019-09-20
USD0.044162019-06-12
USD0.044222019-03-22
20186.51%USD 0.712USD0.57982018-12-14
USD0.044692018-09-21
USD0.044742018-06-22
USD0.042872018-03-23
20175.15%USD 0.564USD0.417012017-12-15
USD0.044692017-09-22
USD0.038812017-06-23
USD0.063162017-03-24
20165.16%USD 0.564USD0.439392016-12-16
USD0.037982016-09-23
USD0.040372016-06-24
USD0.046582016-03-18
20156.51%USD 0.712USD0.171342015-12-18
USD0.422242015-12-15
USD0.039432015-09-25
USD0.03682015-06-26
USD0.04242015-03-27
20146.47%USD 0.708USD0.589642014-12-19
USD0.036062014-09-26
USD0.037382014-06-27
USD0.045052014-03-28
20134.46%USD 0.488USD0.376592013-12-20
USD0.033162013-09-20
USD0.034832013-06-21
USD0.043392013-03-22
20122.63%USD 0.287USD0.17122012-12-21
USD0.035132012-09-28
USD0.035922012-06-29
USD0.045142012-03-30
20112.54%USD 0.277USD0.147062011-12-16
USD0.038352011-09-23
USD0.041872011-06-24
USD0.050142011-03-25
20102.51%USD 0.275USD0.138682010-12-17
USD0.037582010-09-24
USD0.045082010-06-25
USD0.05332010-03-26
20092.10%USD 0.23USD0.100192009-12-18
USD0.043522009-09-25
USD0.041572009-06-26
USD0.044862009-03-27
20082.42%USD 0.265USD0.114942008-12-19
USD0.055312008-09-29
USD0.048222008-06-27
USD0.046782008-03-28
20074.52%USD 0.494USD0.193222007-12-21
USD0.034882007-09-26
USD0.042082007-06-27
USD0.223982007-03-28
20063.09%USD 0.338USD0.226382006-12-22
USD0.055572006-09-27
USD0.055962006-06-28