EMERGING MARKETS FUND INVESTOR CLASS(TWMIX) USD 9.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.28%USD 0.325USD0.21442022-12-21
USD0.11082022-04-19
20210.81%USD 0.08USD0.08042021-03-23
20201.45%USD 0.143USD0.14322020-03-10
20190.58%USD 0.057USD0.01012019-12-17
USD0.0472019-03-19
20180.92%USD 0.091USD0.09072018-03-20
20170.30%USD 0.03USD0.02982017-03-21
20160.11%USD 0.011USD0.01052016-03-08
20150.06%USD 0.006USD0.00642015-03-17
20140.31%USD 0.031USD0.0312014-03-18
20130.31%USD 0.031USD0.03112013-03-19
20100.14%USD 0.014USD0.0142010-04-30
20090.27%USD 0.027USD0.02672009-03-10
20082.32%USD 0.23USD0.23042008-03-11
200712.97%USD 1.285USD1.18132007-12-18
USD0.10372007-03-06
200615.62%USD 1.548USD1.44992006-12-19
USD0.09762006-03-07
200513.72%USD 1.359USD1.32272005-12-13
USD0.03672005-03-08
20040.49%USD 0.049USD0.04882004-12-14
20020.46%USD 0.046USD0.0462002-10-31
20001.74%USD 0.173USD0.17252000-12-15