STRATEGIC BOND FUND CLASS T(RSYTX) USD 9.35
Dividend Yield(TTM) =0.00%
Year |
Yield |
Total |
Amount |
Ex Date |
2022 | 2.62% | USD 0.245 | USD0.1049 | 2022-12-16 |
USD0.0211 | 2022-12-02 |
USD0.0202 | 2022-11-02 |
USD0.0153 | 2022-10-04 |
USD0.0128 | 2022-09-02 |
USD0.0118 | 2022-08-02 |
USD0.0125 | 2022-07-05 |
USD0.0091 | 2022-06-02 |
USD0.0109 | 2022-05-03 |
USD0.012 | 2022-04-04 |
USD0.0097 | 2022-03-02 |
USD0.0044 | 2022-02-02 |
2021 | 2.80% | USD 0.262 | USD0.1254 | 2021-12-17 |
USD0.008 | 2021-12-02 |
USD0.01 | 2021-11-02 |
USD0.0166 | 2021-10-04 |
USD0.011 | 2021-09-02 |
USD0.0071 | 2021-08-03 |
USD0.0106 | 2021-07-02 |
USD0.0187 | 2021-06-02 |
USD0.0187 | 2021-05-04 |
USD0.0187 | 2021-04-05 |
USD0.0133 | 2021-03-02 |
USD0.0041 | 2021-02-02 |
2020 | 8.46% | USD 0.791 | USD0.6523 | 2020-12-18 |
USD0.0117 | 2020-12-02 |
USD0.0189 | 2020-11-03 |
USD0.0217 | 2020-10-02 |
USD0.0198 | 2020-09-02 |
USD0.0124 | 2020-08-04 |
USD0.0116 | 2020-07-02 |
USD0.0078 | 2020-06-02 |
USD0.0096 | 2020-05-04 |
USD0.005 | 2020-04-02 |
USD0.0119 | 2020-03-03 |
USD0.0087 | 2020-02-04 |
2019 | 4.29% | USD 0.401 | USD0.1702 | 2019-12-18 |
USD0.0166 | 2019-12-03 |
USD0.0284 | 2019-11-04 |
USD0.0225 | 2019-10-02 |
USD0.0242 | 2019-09-04 |
USD0.0323 | 2019-08-02 |
USD0.0195 | 2019-07-02 |
USD0.0231 | 2019-06-04 |
USD0.0235 | 2019-05-02 |
USD0.0145 | 2019-04-02 |
USD0.0124 | 2019-03-04 |
USD0.0135 | 2019-02-04 |
2018 | 2.63% | USD 0.246 | USD0.0328 | 2018-12-19 |
USD0.0217 | 2018-12-04 |
USD0.0273 | 2018-11-02 |
USD0.0214 | 2018-10-02 |
USD0.0246 | 2018-09-05 |
USD0.0294 | 2018-08-02 |
USD0.0168 | 2018-07-03 |
USD0.0181 | 2018-06-04 |
USD0.0218 | 2018-05-02 |
USD0.0152 | 2018-04-03 |
USD0.0057 | 2018-03-02 |
USD0.011 | 2018-02-02 |
2017 | 1.22% | USD 0.114 | USD0.0467 | 2017-12-20 |
USD0.0178 | 2017-12-04 |
USD0.0204 | 2017-11-02 |
USD0.0164 | 2017-10-03 |
USD0.0063 | 2017-05-02 |
USD0.0061 | 2017-04-04 |