ZIEGLER FLOATING RATE FUND INSTITUTIONAL CLASS(ZFLIX) USD 23.38
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.38%USD 0.322USD0.15372023-02-28
USD0.16832023-01-31
20225.32%USD 1.244USD0.160852022-12-30
USD0.146292022-11-30
USD0.130312022-10-31
USD0.128662022-09-30
USD0.117842022-08-31
USD0.112122022-07-29
USD0.087082022-06-30
USD0.083332022-05-31
USD0.072152022-04-29
USD0.071822022-03-31
USD0.062142022-02-28
USD0.071822022-01-31
20213.78%USD 0.884USD0.072322021-12-31
USD0.069592021-11-30
USD0.072092021-10-29
USD0.070512021-09-30
USD0.082832021-08-31
USD0.074432021-07-30
USD0.079982021-06-30
USD0.075222021-05-28
USD0.070592021-04-30
USD0.069482021-03-31
USD0.067922021-02-26
USD0.07862021-01-29
20204.27%USD 0.999USD0.078062020-12-31
USD0.075342020-11-30
USD0.075532020-10-30
USD0.07452020-09-30
USD0.070482020-08-31
USD0.081362020-07-31
USD0.081112020-06-30
USD0.075932020-05-29
USD0.08332020-04-30
USD0.10162020-03-31
USD0.097612020-02-28
USD0.103982020-01-31
20196.05%USD 1.416USD0.112732019-12-31
USD0.010082019-12-27
USD0.112019-11-29
USD0.112342019-10-31
USD0.111612019-09-30
USD0.117272019-08-30
USD0.121772019-07-31
USD0.122019-06-28
USD0.1232019-05-31
USD0.1212019-04-30
USD0.1222019-03-29
USD0.11152019-02-28
USD0.122242019-01-31
20185.61%USD 1.311USD0.17452018-12-28
USD0.113092018-11-30
USD0.112592018-10-31
USD0.09922018-09-28
USD0.101672018-08-31
USD0.10762018-07-31
USD0.101392018-06-29
USD0.108172018-05-31
USD0.104532018-04-30
USD0.091742018-03-29
USD0.10042018-02-28
USD0.095852018-01-31
20175.32%USD 1.244USD0.174822017-12-29
USD0.096522017-11-30
USD0.099092017-10-31
USD0.094432017-09-29
USD0.103582017-08-31
USD0.102072017-07-31
USD0.095422017-06-30
USD0.101632017-05-31
USD0.087512017-04-28
USD0.096622017-03-31
USD0.106462017-02-28
USD0.085662017-01-31
20162.55%USD 0.595USD0.159832016-12-30
USD0.077942016-11-30
USD0.079872016-10-31
USD0.072852016-09-30
USD0.079622016-08-31
USD0.055422016-07-29
USD0.03712016-06-30
USD0.032792016-05-31