PRINCIPAL LIFETIME 2030 FUND INSTITUTIONAL CLASS(PMTIX) USD 12.9
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20229.51%USD 1.227USD0.24842022-12-30
USD0.97822022-12-20
202111.11%USD 1.433USD0.41022021-12-31
USD1.02282021-12-20
20207.72%USD 0.995USD0.27462020-12-31
USD0.72082020-12-18
20197.29%USD 0.94USD0.30942019-12-31
USD0.6312019-12-19
20188.03%USD 1.035USD0.32342018-12-31
USD0.71192018-12-19
20176.71%USD 0.866USD0.39522017-12-29
USD0.47042017-12-20
20164.06%USD 0.523USD0.23582016-12-30
USD0.28732016-12-20
20159.47%USD 1.222USD0.21262015-12-31
USD1.00932015-12-17
20147.54%USD 0.973USD0.38842014-12-31
USD0.58412014-12-17
20133.68%USD 0.474USD0.28272013-12-31
USD0.19162013-12-18
20122.18%USD 0.281USD0.28072012-12-31
20112.03%USD 0.262USD0.26222011-12-30
20101.75%USD 0.225USD0.22522010-12-31
20091.94%USD 0.251USD0.25092009-12-31
20084.61%USD 0.595USD0.23792008-12-31
USD0.35742008-12-10
20075.86%USD 0.756USD0.44082007-12-31
USD0.3152007-12-06
20063.70%USD 0.477USD0.37752006-12-29
USD0.09952006-12-06
20053.30%USD 0.426USD0.312005-12-30
USD0.11582005-12-06
20042.29%USD 0.296USD0.21312004-12-27
USD0.08262004-12-08
20031.42%USD 0.183USD0.15092003-12-26
USD0.0322003-09-02
20020.79%USD 0.101USD0.10132002-12-27