INFLATION-ADJUSTED BOND FUND I CLASS(AIAHX) USD 10.83
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.23%USD 0.783USD0.55332022-12-21
USD0.23012022-06-21
20215.43%USD 0.588USD0.44022021-12-21
USD0.14772021-06-22
20201.47%USD 0.159USD0.03392020-12-22
USD0.12512020-06-16
20192.73%USD 0.296USD0.20732019-12-20
USD0.08822019-06-18
20183.15%USD 0.341USD0.15172018-12-20
USD0.18922018-06-19
20172.41%USD 0.261USD0.1062017-12-26
USD0.15462017-06-20