INTERNATIONAL FUND INTERNATIONAL FUND SHARES(USIFX) USD 24.63
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.69%USD 0.662USD0.341722022-12-21
USD0.32052022-12-14
20219.79%USD 2.411USD0.510392021-12-22
USD1.900482021-12-16
20202.03%USD 0.501USD0.500872020-12-22
201926.36%USD 6.491USD0.7322019-12-23
USD5.75932019-12-17
20189.10%USD 2.241USD0.44252018-12-19
USD1.798392018-12-10
20174.15%USD 1.021USD0.629892017-12-18
USD0.391082017-12-08
20161.69%USD 0.416USD0.4162016-12-16
20156.12%USD 1.507USD0.36582015-12-18
USD1.14082015-12-08
20143.63%USD 0.894USD0.501262014-12-19
USD0.392312014-12-08
20130.96%USD 0.236USD0.235862013-12-17
20121.33%USD 0.328USD0.328342012-12-18
20111.22%USD 0.3USD0.299962011-12-19
20100.90%USD 0.221USD0.221342010-12-20
20090.96%USD 0.237USD0.236732009-12-21
20082.80%USD 0.689USD0.439012008-12-18
USD0.249522008-12-11
20077.98%USD 1.965USD0.411522007-12-27
USD1.55342007-12-13
200610.95%USD 2.698USD0.56172006-12-27
USD2.1362006-12-13
20055.16%USD 1.271USD0.20522005-12-28
USD1.065532005-12-15
20046.39%USD 1.574USD0.1382004-12-29
USD1.436212004-12-15
20030.99%USD 0.244USD0.10442003-12-29
USD0.04892003-12-11
USD0.0452003-02-28
USD0.0462003-01-31
20021.19%USD 0.293USD0.12592002-12-12
USD0.0482002-11-29
USD0.0632002-05-31
USD0.0562002-04-30
20010.73%USD 0.18USD0.180292001-12-13
20005.33%USD 1.314USD1.20262000-07-17
USD0.1112000-07-14