BOND MARKET INDEX FUND R-1(PBIMX) USD 8.48
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.52%USD 0.044USD0.04422022-12-21
20211.20%USD 0.102USD0.07032021-12-21
USD0.03162021-12-20
202021.54%USD 1.826USD0.60662020-12-21
USD1.21982020-12-18
20191.54%USD 0.13USD0.13022019-12-20
20181.86%USD 0.158USD0.15762018-12-20
20171.90%USD 0.161USD0.16142017-12-21
20161.27%USD 0.108USD0.10672016-12-22
USD0.00132016-12-20
20151.54%USD 0.131USD0.11622015-12-21
USD0.01442015-12-17
20141.86%USD 0.157USD0.13542014-12-19
USD0.0222014-12-17
20131.53%USD 0.13USD0.132013-12-20
20121.71%USD 0.145USD0.13952012-12-21
USD0.00522012-12-19
20112.23%USD 0.189USD0.18942011-12-21
20101.71%USD 0.145USD0.12672010-12-21
USD0.01862010-12-10