TIAA-CREF REAL ESTATE SECURITIES FUND INSTITUTIONAL CLASS(TIREX) USD 16.35
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.74%USD 0.121USD0.120632023-03-17
20225.08%USD 0.83USD0.568692022-12-09
USD0.125622022-09-23
USD0.08882022-06-17
USD0.047052022-03-18
20214.47%USD 0.732USD0.49162021-12-10
USD0.078662021-09-17
USD0.088492021-06-18
USD0.072882021-03-19
20201.95%USD 0.319USD0.075232020-12-11
USD0.074212020-09-18
USD0.078772020-06-19
USD0.090332020-03-20
20196.73%USD 1.1USD0.902062019-12-06
USD0.079552019-09-20
USD0.062982019-06-12
USD0.055382019-03-22
20183.13%USD 0.511USD0.267622018-12-07
USD0.09392018-09-21
USD0.083442018-06-22
USD0.066132018-03-23
20177.35%USD 1.202USD1.043512017-12-08
USD0.068572017-09-22
USD0.059432017-06-23
USD0.030122017-03-24
20163.80%USD 0.621USD0.372292016-12-09
USD0.073252016-09-23
USD0.075952016-06-24
USD0.09962016-03-18
20155.81%USD 0.951USD0.762012015-12-11
USD0.074212015-09-25
USD0.059852015-06-26
USD0.054482015-03-27
20143.13%USD 0.512USD0.32862014-12-12
USD0.065672014-09-26
USD0.058492014-06-27
USD0.05922014-03-28
20132.74%USD 0.448USD0.272372013-12-13
USD0.062762013-09-20
USD0.055072013-06-21
USD0.057672013-03-22
20121.25%USD 0.205USD0.062572012-12-07
USD0.052742012-09-28
USD0.044862012-06-29
USD0.044962012-03-30
20110.89%USD 0.146USD0.047172011-12-09
USD0.045242011-09-23
USD0.026892011-06-24
USD0.026632011-03-25
20101.20%USD 0.196USD0.046042010-12-10
USD0.053322010-09-24
USD0.039522010-06-25
USD0.057252010-03-26
20091.15%USD 0.187USD0.048912009-12-11
USD0.062832009-09-25
USD0.041062009-06-26
USD0.034432009-03-27
20082.15%USD 0.352USD0.049232008-12-12
USD0.073522008-09-29
USD0.093592008-06-27
USD0.135792008-03-28
200713.91%USD 2.274USD1.874742007-12-14
USD0.077662007-09-26
USD0.162522007-06-27
USD0.158772007-03-28
20068.43%USD 1.378USD0.982006-12-22
USD0.149212006-09-27
USD0.138062006-06-28
USD0.110962006-03-29
20053.14%USD 0.513USD0.1682005-12-23
USD0.133342005-09-28
USD0.164022005-06-28
USD0.0482005-03-29
200412.13%USD 1.984USD1.689592004-12-29
USD0.118232004-09-28
USD0.131772004-06-28
USD0.044462004-03-29
200311.16%USD 1.825USD1.541182003-12-29
USD0.103852003-09-26
USD0.132862003-06-30
USD0.0472003-03-31
20020.42%USD 0.069USD0.068932002-12-27