S&P 500 INDEX FUND S&P 500 INDEX FUND-REWARD SHARES(USPRX) USD 53.07
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.31%USD 0.163USD0.163242023-03-21
20222.67%USD 1.419USD0.213942022-12-21
USD0.672462022-12-14
USD0.180832022-09-19
USD0.186792022-06-22
USD0.16472022-03-22
20215.93%USD 3.149USD0.186652021-12-22
USD2.474252021-12-16
USD0.164492021-09-20
USD0.172392021-06-22
USD0.151272021-03-22
20203.35%USD 1.778USD0.175812020-12-22
USD1.070682020-12-16
USD0.16932020-09-23
USD0.179082020-06-24
USD0.183092020-03-25
20194.19%USD 2.225USD0.17982019-12-23
USD1.46532019-12-17
USD0.215152019-09-26
USD0.160112019-06-26
USD0.204342019-03-27
20182.08%USD 1.105USD0.18142018-12-19
USD0.404342018-12-10
USD0.171082018-09-26
USD0.174272018-06-27
USD0.174142018-03-28
20170.91%USD 0.482USD0.144072017-12-18
USD0.020782017-12-08
USD0.147652017-09-27
USD0.000252017-06-28
USD0.168872017-03-29
20161.46%USD 0.772USD0.149842016-12-16
USD0.135272016-12-08
USD0.148732016-09-28
USD0.138632016-06-28
USD0.199752016-03-29
20151.09%USD 0.579USD0.135522015-12-18
USD0.027652015-12-08
USD0.1352015-09-28
USD0.133662015-06-26
USD0.146812015-03-27
20140.96%USD 0.51USD0.127052014-12-19
USD0.127282014-09-26
USD0.122262014-06-26
USD0.133832014-03-27
20130.82%USD 0.436USD0.106492013-12-17
USD0.116772013-09-26
USD0.094792013-06-26
USD0.118382013-03-27
20122.75%USD 1.46USD0.124342012-12-18
USD1.010242012-12-07
USD0.109822012-09-26
USD0.104362012-06-27
USD0.110822012-03-28
20110.74%USD 0.392USD0.089722011-12-19
USD0.088582011-09-28
USD0.090772011-06-28
USD0.122822011-03-29
20100.61%USD 0.326USD0.09462010-12-20
USD0.080532010-09-28
USD0.07822010-06-28
USD0.07222010-03-29
20090.61%USD 0.322USD0.087232009-12-21
USD0.075472009-09-28
USD0.074732009-06-26
USD0.084752009-03-27
20080.78%USD 0.412USD0.106612008-12-18
USD0.105042008-09-26
USD0.102412008-06-26
USD0.097872008-03-27
20070.78%USD 0.413USD0.117132007-12-27
USD0.10332007-09-26
USD0.095732007-06-27
USD0.096692007-03-28
20060.68%USD 0.36USD0.103892006-12-27
USD0.08812006-09-27
USD0.08562006-06-28
USD0.08282006-03-29
20050.60%USD 0.32USD0.0942005-12-28
USD0.07992005-09-28
USD0.0782005-06-28
USD0.0682005-03-29
20040.59%USD 0.315USD0.1262004-12-29
USD0.06982004-09-28
USD0.0632004-06-28
USD0.056022004-03-29
20030.45%USD 0.238USD0.064262003-12-29
USD0.0672003-09-26
USD0.0532003-06-26
USD0.0542003-03-27
20020.34%USD 0.179USD0.0582002-12-27
USD0.072002-09-26
USD0.0512002-06-26