ALLIANZGI CONVERTIBLE FUND ADMINISTRATIVE CLASS(ANNAX) USD 31.09
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.25%USD 0.078USD0.078382023-03-16
20221.18%USD 0.367USD0.226842022-12-22
USD0.070412022-09-22
USD0.03942022-06-16
USD0.030762022-03-17
202124.71%USD 7.681USD7.56962021-12-16
USD0.059182021-09-16
USD0.009762021-06-17
USD0.042592021-03-18
20209.77%USD 3.037USD2.858772020-12-17
USD0.081642020-09-17
USD0.065352020-06-18
USD0.030872020-03-19
20194.27%USD 1.327USD1.180942019-12-19
USD0.071722019-09-19
USD0.036432019-06-20
USD0.038322019-03-21
201814.39%USD 4.475USD4.270322018-12-20
USD0.077662018-09-20
USD0.067592018-06-21
USD0.059532018-03-22
201721.93%USD 6.819USD6.287692017-12-21
USD0.157742017-09-21
USD0.128782017-06-22
USD0.244532017-03-16
20162.60%USD 0.809USD0.393722016-12-22
USD0.143222016-09-22
USD0.133552016-06-16
USD0.006332016-06-09
USD0.132312016-03-17
20159.71%USD 3.019USD0.216552015-12-17
USD2.503032015-12-10
USD0.10142015-09-17
USD0.090622015-06-18
USD0.107512015-03-19
201410.37%USD 3.223USD0.260062014-12-18
USD2.291542014-12-11
USD0.103152014-09-18
USD0.413332014-08-07
USD0.065822014-06-19
USD0.088732014-03-20
20133.78%USD 1.175USD0.42692013-12-19
USD0.427392013-12-12
USD0.079352013-09-19
USD0.151242013-06-20
USD0.090032013-03-21
20121.79%USD 0.557USD0.159792012-12-20
USD0.070712012-09-20
USD0.000422012-08-02
USD0.088292012-06-21
USD0.237342012-03-22
20117.52%USD 2.338USD0.365082011-12-22
USD1.573452011-12-15
USD0.125912011-09-22
USD0.124022011-06-16
USD0.149082011-03-17
20101.74%USD 0.54USD0.262522010-12-16
USD0.156562010-09-16
USD0.121142010-06-17