AllianzGI NFJ Dividend Interest & Premium Strategy Fund(XNFJX) USD 13.77
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.09%USD 0.012USD0.0122022-03-11
20211.05%USD 0.144USD0.0362021-12-17
USD0.0362021-09-10
USD0.0362021-06-11
USD0.0362021-03-12
20202.16%USD 0.297USD0.0362020-12-18
USD0.0362020-09-11
USD0.2252020-06-12
20193.27%USD 0.45USD0.2252019-06-14
USD0.2252019-03-08
20186.54%USD 0.9USD0.2252018-12-21
USD0.2252018-09-14
USD0.2252018-06-08
USD0.2252018-03-09
20178.17%USD 1.125USD0.2252017-12-22
USD0.32017-09-08
USD0.32017-06-08
USD0.32017-03-09
20168.71%USD 1.2USD0.32016-12-22
USD0.32016-09-08
USD0.32016-06-09
USD0.32016-03-10
201511.98%USD 1.65USD0.32015-12-23
USD0.452015-09-10
USD0.452015-06-11
USD0.452015-03-12
201413.07%USD 1.8USD0.452014-12-24
USD0.452014-09-11
USD0.452014-06-12
USD0.452014-03-13
201313.07%USD 1.8USD0.452013-12-24
USD0.452013-09-12
USD0.452013-06-13
USD0.452013-03-14
20129.80%USD 1.35USD0.452012-12-26
USD0.452012-09-13
USD0.452012-06-14
201113.07%USD 1.8USD0.452011-12-28
USD0.452011-09-15
USD0.452011-06-16
USD0.452011-03-17
20106.54%USD 0.9USD0.452010-12-29
USD0.152010-09-16
USD0.152010-06-17
USD0.152010-03-18
20094.36%USD 0.6USD0.152009-12-23
USD0.152009-09-17
USD0.152009-06-18
USD0.152009-03-19
200814.42%USD 1.985USD0.412008-12-24
USD0.5252008-09-18
USD0.5252008-06-19
USD0.5252008-03-19
200716.23%USD 2.235USD0.672007-12-27
USD0.52182007-09-20
USD0.52182007-06-21
USD0.52182007-03-22
200615.16%USD 2.087USD0.52182006-12-27
USD0.52182006-09-21
USD0.52182006-06-20
USD0.52182006-03-23
200511.88%USD 1.636USD0.59632005-12-28
USD0.522005-09-23
USD0.522005-06-15