STRATEGIC ALLOCATION: CONSERVATIVE FUND R CLASS(AACRX) USD 5.17
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.12%USD 0.006USD0.00622023-03-28
20224.13%USD 0.214USD0.15422022-12-28
USD0.012022-09-27
USD0.032022-06-28
USD0.01942022-03-29
20219.62%USD 0.497USD0.44142021-12-28
USD0.03052021-09-28
USD0.02532021-06-29
20204.04%USD 0.209USD0.19942020-12-29
USD0.00842020-09-29
USD0.00132020-06-23
20198.62%USD 0.445USD0.40312019-12-20
USD0.01762019-09-17
USD0.02092019-06-18
USD0.00382019-03-19
20186.88%USD 0.356USD0.02592018-12-20
USD0.28962018-12-18
USD0.01992018-09-18
USD0.02022018-06-19
20176.34%USD 0.328USD0.0222017-12-26
USD0.28352017-12-19
USD0.0122017-09-19
USD0.00992017-06-20
USD0.00032017-03-21
20162.41%USD 0.125USD0.02552016-12-27
USD0.08892016-12-20
USD0.00382016-09-20
USD0.00632016-06-21
20156.16%USD 0.318USD0.31742015-12-22
USD0.0012015-03-17
20147.01%USD 0.363USD0.00522014-12-23
USD0.34332014-12-16
USD0.00772014-09-09
USD0.00622014-06-10
USD0.00022014-03-18
20137.82%USD 0.404USD0.01232013-12-23
USD0.36862013-12-17
USD0.00722013-09-10
USD0.01612013-06-11
20124.78%USD 0.247USD0.02072012-12-26
USD0.18992012-12-18
USD0.0082012-09-18
USD0.02382012-06-12
USD0.00332012-03-13
USD0.00162012-03-06
20113.28%USD 0.169USD0.01912011-12-27
USD0.09782011-12-20
USD0.01662011-09-20
USD0.02292011-06-14
USD0.0132011-03-22
20101.22%USD 0.063USD0.01612010-12-28
USD0.01672010-09-21
USD0.01242010-06-15
USD0.01792010-03-23
20091.41%USD 0.073USD0.01412009-12-29
USD0.02172009-09-15
USD0.02322009-06-16
USD0.01392009-03-17
20082.17%USD 0.112USD0.01462008-12-29
USD0.02772008-09-16
USD0.0292008-06-17
USD0.03292008-03-18
USD0.0082008-03-11
20079.88%USD 0.511USD0.03422007-12-28
USD0.36572007-12-18
USD0.03182007-09-11
USD0.03532007-06-12
USD0.02022007-03-13
USD0.02342007-03-06
20065.96%USD 0.308USD0.042006-12-27
USD0.1452006-12-19
USD0.0322006-09-29
USD0.03152006-09-12
USD0.02942006-06-13
USD0.01652006-03-14
USD0.01392006-03-07
20054.63%USD 0.24USD0.0312005-12-28
USD0.16352005-12-13
USD0.022005-09-13
USD0.02512005-06-14