DEUTSCHE MULTI-ASSET CONSERVATIVE ALLOCATION FUND CLASS S(SPBAX) USD 12.39
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.38%USD 0.295USD0.07342022-12-29
USD0.07352022-09-29
USD0.07382022-06-29
USD0.07382022-03-30
20211.96%USD 0.243USD0.072021-12-30
USD0.07482021-09-29
USD0.052021-06-29
USD0.04862021-03-30
20205.18%USD 0.642USD0.39042020-12-30
USD0.08322020-09-29
USD0.09412020-06-29
USD0.07392020-03-30
20192.48%USD 0.308USD0.06452019-12-30
USD0.08442019-09-27
USD0.09452019-06-27
USD0.06442019-03-28
20181.86%USD 0.23USD0.06432018-12-28
USD0.06442018-09-27
USD0.05572018-06-28
USD0.04562018-03-28
20171.95%USD 0.242USD0.08572017-12-28
USD0.06182017-09-28
USD0.03282017-06-29
USD0.06192017-03-30
20162.00%USD 0.248USD0.09472016-12-29
USD0.0462016-09-29
USD0.04582016-06-29
USD0.06132016-03-30
20153.34%USD 0.413USD0.09582015-12-30
USD0.08512015-09-29
USD0.11742015-06-29
USD0.11512015-03-30
20142.82%USD 0.35USD0.12742014-12-30
USD0.06752014-09-29
USD0.08752014-06-27
USD0.06732014-03-28
20132.25%USD 0.279USD0.08092013-12-30
USD0.06712013-09-27
USD0.07152013-06-27
USD0.05922013-03-27
20121.94%USD 0.24USD0.07532012-12-28
USD0.04792012-09-27
USD0.06522012-06-28
USD0.05142012-03-29
20111.87%USD 0.232USD0.0682011-12-29
USD0.05512011-09-29
USD0.05752011-06-29
USD0.05132011-03-30
20101.94%USD 0.241USD0.06252010-12-30
USD0.03622010-09-29
USD0.05842010-06-29
USD0.08372010-03-30
20091.94%USD 0.241USD0.05422009-12-30
USD0.04722009-09-29
USD0.05432009-06-29
USD0.08512009-03-30
20084.83%USD 0.599USD0.1142008-12-30
USD0.07392008-09-29
USD0.1052008-06-27
USD0.30612008-03-28
20073.78%USD 0.468USD0.04162007-12-28
USD0.01522007-09-27
USD0.10032007-06-28
USD0.31082007-03-29
20063.43%USD 0.425USD0.212006-12-28
USD0.0652006-09-28
USD0.0652006-06-29
USD0.0852006-03-30
20052.58%USD 0.32USD0.142005-12-29
USD0.062005-09-29
USD0.062005-06-29
USD0.062005-03-30
20042.18%USD 0.27USD0.092004-12-29
USD0.062004-09-29
USD0.062004-06-29
USD0.062004-03-30
20031.91%USD 0.237USD0.062003-12-30
USD0.0472003-09-29
USD0.0532003-06-27
USD0.0772003-03-28
20021.96%USD 0.243USD0.062002-12-30
USD0.0572002-09-27
USD0.0592002-06-27
USD0.0672002-03-27
20012.33%USD 0.289USD0.0742001-12-28
USD0.0682001-09-27
USD0.0692001-06-28
USD0.0782001-03-30
20003.63%USD 0.45USD0.162000-12-29
USD0.112000-09-20
USD0.112000-06-30
USD0.072000-03-31