T. Rowe Price QM U.S. Bond Index Fund I Class(TSBLX) USD 9.72
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.54%USD 0.052USD0.026382023-02-27
USD0.025942023-01-30
20222.83%USD 0.275USD0.029272022-12-29
USD0.026512022-11-29
USD0.024242022-10-28
USD0.026392022-09-29
USD0.024462022-08-30
USD0.023892022-07-28
USD0.022472022-06-29
USD0.020842022-05-27
USD0.020682022-04-28
USD0.020192022-03-30
USD0.018082022-02-25
USD0.017892022-01-28
20212.28%USD 0.222USD0.022021-12-31
USD0.018282021-11-29
USD0.018842021-10-28
USD0.018182021-09-29
USD0.017542021-08-30
USD0.019372021-07-29
USD0.017942021-06-29
USD0.016692021-05-27
USD0.020192021-04-29
USD0.019822021-03-30
USD0.017672021-02-25
USD0.017082021-01-28
20202.16%USD 0.21USD0.022142020-12-30
USD0.152020-12-08
USD0.019542020-11-27
USD0.018432020-10-29