New Germany Closed Fund(GF) USD 9.17
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.38%USD 0.769USD0.04312022-12-29
USD0.72542022-05-13
202163.81%USD 5.851USD4.91882021-12-29
USD0.93262021-05-14
202026.82%USD 2.46USD2.1192020-12-29
USD0.34052020-05-15
20195.63%USD 0.516USD0.20362019-12-27
USD0.31282019-05-17
201839.84%USD 3.654USD2.93882018-12-28
USD0.71482018-05-18
20178.11%USD 0.743USD0.74332017-12-28
201612.90%USD 1.183USD0.79582016-12-28
USD0.38732016-05-17
201513.42%USD 1.23USD0.86692015-12-29
USD0.36352015-05-14
201447.30%USD 4.338USD3.5352014-12-29
USD0.80252014-05-15
201348.87%USD 4.481USD4.4812013-12-27
20126.91%USD 0.633USD0.63342012-12-27
20116.38%USD 0.585USD0.54542011-12-28
USD0.042011-05-17
20101.29%USD 0.119USD0.0652010-12-29
USD0.05352010-04-28
20091.94%USD 0.178USD0.16012009-12-29
USD0.01762009-04-30
20082.03%USD 0.186USD0.12712008-12-11
USD0.05932008-05-02
20076.47%USD 0.594USD0.25442007-12-19
USD0.33922007-05-01
20062.23%USD 0.205USD0.05492006-12-19
USD0.14962006-05-03
20055.98%USD 0.549USD0.4092005-12-20
USD0.13972005-05-17
20043.05%USD 0.279USD0.22952004-12-20
USD0.04992004-05-04
20030.27%USD 0.025USD0.02192003-12-18
USD0.0032003-07-22
200018.82%USD 1.726USD1.3072000-11-16
USD0.4192000-08-30