PIMCO Dynamic Credit Income Fund(XPCIX) USD 20.17
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202110.35%USD 2.088USD0.1742021-12-07
USD0.1742021-11-10
USD0.1742021-10-08
USD0.1742021-09-10
USD0.1742021-08-11
USD0.1742021-07-09
USD0.1742021-06-10
USD0.1742021-05-12
USD0.1742021-04-09
USD0.1742021-03-10
USD0.1742021-02-10
USD0.1742021-01-13
202010.35%USD 2.088USD0.1742020-12-10
USD0.1742020-11-10
USD0.1742020-10-09
USD0.1742020-09-10
USD0.1742020-08-12
USD0.1742020-07-10
USD0.1742020-06-10
USD0.1742020-05-08
USD0.1742020-04-09
USD0.1742020-03-11
USD0.1742020-02-12
USD0.1742020-01-10
201912.29%USD 2.478USD0.452019-12-13
USD0.1742019-12-11
USD0.1742019-11-08
USD0.1742019-10-10
USD0.1742019-09-12
USD0.1742019-08-09
USD0.1742019-07-11
USD0.164062019-06-12
USD0.164062019-05-10
USD0.164062019-04-10
USD0.164062019-03-08
USD0.164062019-02-08
USD0.164062019-01-11
201811.34%USD 2.288USD0.352018-12-14
USD0.16152018-12-12
USD0.16152018-11-09
USD0.16152018-10-11
USD0.16152018-09-13
USD0.16152018-08-10
USD0.16152018-07-12
USD0.16152018-06-08
USD0.16152018-05-10
USD0.16152018-04-11
USD0.16152018-03-09
USD0.16152018-02-09
USD0.16152018-01-11
20179.61%USD 1.938USD0.16152017-12-08
USD0.16152017-11-10
USD0.16152017-10-12
USD0.16152017-09-08
USD0.16152017-08-09
USD0.16152017-07-12
USD0.16152017-06-08
USD0.16152017-05-09
USD0.16152017-04-11
USD0.16152017-03-09
USD0.16152017-02-09
USD0.16152017-01-11
201612.39%USD 2.498USD0.62022016-12-22
USD0.15652016-12-08
USD0.15652016-11-09
USD0.15652016-10-11
USD0.15652016-09-08
USD0.15652016-08-09
USD0.15652016-07-07
USD0.15652016-06-09
USD0.15652016-05-10
USD0.15652016-04-07
USD0.15652016-03-09
USD0.15652016-02-09
USD0.15652016-01-12
20159.02%USD 1.819USD0.15652015-12-09
USD0.15652015-11-09
USD0.15652015-10-07
USD0.15652015-09-09
USD0.14912015-08-11
USD0.14912015-07-09
USD0.14912015-06-09
USD0.14912015-05-07
USD0.14912015-04-09
USD0.14912015-03-10
USD0.14912015-02-10
USD0.14912015-01-08
201411.70%USD 2.361USD0.57152014-12-24
USD0.14912014-12-09
USD0.14912014-11-10
USD0.14912014-10-09
USD0.14912014-09-10
USD0.14912014-08-07
USD0.14912014-07-09
USD0.14912014-06-10
USD0.14912014-05-08
USD0.14912014-04-09
USD0.14912014-03-11
USD0.14912014-02-11
USD0.14912014-01-09
20139.12%USD 1.839USD0.34782013-12-26
USD0.14912013-12-10
USD0.14912013-11-07
USD0.14912013-10-09
USD0.14912013-09-11
USD0.14912013-08-08
USD0.14912013-07-09
USD0.14912013-06-11
USD0.14912013-05-09
USD0.14912013-04-09
USD0.14912013-03-14