TIMOTHY PLAN HIGH YIELD BOND FUND TIMOTHY PLAN HIGH YIELD BOND FUND CLASS A(TPHAX) USD 8.47
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.58%USD 0.134USD0.13372023-03-30
20224.48%USD 0.38USD0.0762022-12-12
USD0.09942022-09-29
USD0.10322022-06-29
USD0.10122022-03-30
20214.91%USD 0.416USD0.12842021-12-13
USD0.09852021-09-29
USD0.10472021-06-29
USD0.08392021-03-30
20204.88%USD 0.413USD0.11022020-12-14
USD0.11182020-09-29
USD0.10512020-06-29
USD0.08592020-03-30
20194.65%USD 0.394USD0.10942019-12-12
USD0.10652019-09-27
USD0.09592019-06-27
USD0.08192019-03-28
20184.18%USD 0.354USD0.09452018-12-18
USD0.08352018-09-27
USD0.08382018-06-28
USD0.09212018-03-28
20173.91%USD 0.331USD0.10242017-12-19
USD0.07912017-09-28
USD0.08462017-06-29
USD0.06532017-03-30
20164.17%USD 0.353USD0.10332016-12-13
USD0.09012016-09-29
USD0.0782016-06-29
USD0.0822016-03-30
20154.66%USD 0.395USD0.10392015-12-15
USD0.11032015-09-29
USD0.09062015-06-29
USD0.09022015-03-30
20144.98%USD 0.422USD0.10522014-12-22
USD0.10992014-09-29
USD0.10112014-06-27
USD0.10542014-03-28
20135.78%USD 0.49USD0.12752013-12-20
USD0.11762013-09-27
USD0.12962013-06-27
USD0.11482013-03-27
20126.20%USD 0.526USD0.11162012-12-20
USD0.15272012-09-27
USD0.13872012-06-28
USD0.12252012-03-29
20116.44%USD 0.545USD0.13342011-12-29
USD0.144122011-09-29
USD0.12662011-06-29
USD0.14112011-03-30
20107.04%USD 0.597USD0.12882010-12-27
USD0.14482010-09-29
USD0.15812010-06-29
USD0.0232010-04-21
USD0.1422010-03-30
20097.47%USD 0.633USD0.14942009-12-24
USD0.14062009-09-29
USD0.16392009-06-29
USD0.17922009-03-30
20087.11%USD 0.602USD0.1362008-12-24
USD0.1592008-09-29
USD0.15832008-06-30
USD0.1492008-03-31
20074.21%USD 0.356USD0.14332007-12-19
USD0.14142007-09-28
USD0.07162007-06-29