DEUTSCHE ENHANCED EMERGING MARKETS FIXED INCOME FUND CLASS A(SZEAX) USD 6.57
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.61%USD 0.106USD0.10592023-03-24
20226.44%USD 0.423USD0.10592022-12-08
USD0.10592022-09-23
USD0.10582022-06-23
USD0.10532022-03-24
20216.19%USD 0.407USD0.10932021-12-08
USD0.1042021-09-23
USD0.0992021-06-23
USD0.09422021-03-24
20206.04%USD 0.397USD0.1042020-12-08
USD0.10442020-09-23
USD0.08522020-06-23
USD0.1032020-03-24
20195.63%USD 0.37USD0.09392019-12-09
USD0.08982019-09-23
USD0.08532019-06-21
USD0.10062019-03-22
20185.30%USD 0.348USD0.09072018-12-10
USD0.07812018-09-21
USD0.07492018-06-22
USD0.10472018-03-22
20175.19%USD 0.341USD0.1042017-12-08
USD0.08882017-09-22
USD0.0742017-06-23
USD0.07422017-03-24
20166.50%USD 0.427USD0.10422016-12-08
USD0.1042016-09-23
USD0.10932016-06-23
USD0.10932016-03-23
20156.46%USD 0.424USD0.10642015-12-08
USD0.10632015-09-23
USD0.10582015-06-23
USD0.10582015-03-24
20145.82%USD 0.382USD0.1052014-12-09
USD0.09952014-09-23
USD0.08862014-06-23
USD0.08922014-03-24
20135.43%USD 0.357USD0.08472013-12-09
USD0.08472013-09-23
USD0.0892013-06-21
USD0.09822013-03-21
20126.10%USD 0.401USD0.08672012-12-10
USD0.08682012-09-21
USD0.10362012-06-22
USD0.12362012-03-23
20117.11%USD 0.467USD0.11892011-12-08
USD0.12092011-09-23
USD0.11372011-06-23
USD0.11382011-03-24
20107.66%USD 0.503USD0.12332010-12-08
USD0.12352010-09-23
USD0.12322010-06-23
USD0.13332010-03-24
200910.61%USD 0.697USD0.17422009-12-09
USD0.17352009-09-23
USD0.17442009-06-23
USD0.17482009-03-24
200814.57%USD 0.957USD0.46412008-12-10
USD0.16442008-09-23
USD0.16442008-06-23
USD0.16432008-03-24
20079.89%USD 0.65USD0.16412007-12-10
USD0.16412007-09-21
USD0.1612007-06-22
USD0.16092007-03-23
200610.54%USD 0.693USD0.32006-12-11
USD0.13572006-09-22
USD0.13382006-06-23
USD0.12322006-03-24
200510.12%USD 0.665USD0.2952005-12-14
USD0.1232005-09-23
USD0.1232005-06-23
USD0.1242005-03-24
20047.56%USD 0.497USD0.1232004-12-14
USD0.1232004-09-23
USD0.1262004-06-23
USD0.1252004-03-24
20038.33%USD 0.547USD0.1252003-12-15
USD0.1442003-09-23
USD0.1342003-06-23
USD0.1442003-03-24
20029.80%USD 0.644USD0.1542002-12-13
USD0.142002-09-23
USD0.1652002-06-21
USD0.1852002-03-21
20016.16%USD 0.405USD0.22001-12-17
USD0.2052001-09-21