VALUE FUND VALUE FUND ADVISER SHARES(UAVAX) USD 17.07
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.74%USD 1.321USD0.195442022-12-21
USD1.125792022-12-14
20215.13%USD 0.875USD0.875092021-12-16
20201.27%USD 0.218USD0.162412020-12-22
USD0.055222020-12-16
201926.91%USD 4.593USD0.18542019-12-23
USD4.40742019-12-17
201813.58%USD 2.318USD0.162332018-12-19
USD2.155782018-12-10
20178.98%USD 1.532USD0.15132017-12-18
USD1.381182017-12-08
20164.72%USD 0.806USD0.228942016-12-16
USD0.576792016-12-08
20155.64%USD 0.963USD0.181352015-12-18
USD0.781632015-12-08
20145.47%USD 0.934USD0.208232014-12-19
USD0.72582014-12-08
20133.98%USD 0.679USD0.125662013-12-17
USD0.553512013-12-06
20121.00%USD 0.17USD0.169962012-12-18
20110.54%USD 0.092USD0.091692011-12-19
20100.68%USD 0.115USD0.115342010-12-20