PRINCIPAL LIFETIME 2025 FUND INSTITUTIONAL CLASS(LTSTX) USD 10.44
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.61%USD 0.794USD0.23992022-12-30
USD0.55442022-12-20
20219.28%USD 0.969USD0.3292021-12-31
USD0.642021-12-20
20206.18%USD 0.646USD0.22812020-12-31
USD0.41742020-12-18
20197.54%USD 0.787USD0.25382019-12-31
USD0.5332019-12-19
20186.18%USD 0.645USD0.27122018-12-31
USD0.37422018-12-19
20175.22%USD 0.545USD0.3072017-12-29
USD0.2382017-12-20
20163.61%USD 0.376USD0.18952016-12-30
USD0.18692016-12-20
20158.60%USD 0.898USD0.1682015-12-31
USD0.72962015-12-17
20146.69%USD 0.698USD0.30742014-12-31
USD0.39092014-12-17
20136.24%USD 0.652USD0.21572013-12-31
USD0.43582013-12-18
20124.17%USD 0.436USD0.22382012-12-31
USD0.2122012-12-19
20112.41%USD 0.252USD0.21552011-12-30
USD0.03612011-12-19
20103.17%USD 0.331USD0.18712010-12-31
USD0.14412010-12-10
20091.80%USD 0.187USD0.18742009-12-31
20081.38%USD 0.144USD0.14392008-12-31