API MULTI-ASSET INCOME FUND CLASS L SHARES(AFFIX) USD 7.66
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.98%USD 0.075USD0.03012023-03-30
USD0.02062023-02-27
USD0.02422023-02-01
20224.16%USD 0.319USD0.03382022-12-28
USD0.02862022-11-29
USD0.03082022-10-28
USD0.032022-09-29
USD0.02932022-08-30
USD0.02632022-07-28
USD0.02942022-06-29
USD0.02592022-05-27
USD0.02392022-04-28
USD0.01962022-03-30
USD0.02082022-02-25
USD0.02052022-02-01
20213.82%USD 0.293USD0.03132021-12-28
USD0.0232021-11-29
USD0.02292021-10-28
USD0.02192021-09-29
USD0.02262021-08-30
USD0.02292021-07-29
USD0.02382021-06-29
USD0.02492021-05-27
USD0.026032021-04-29
USD0.026272021-03-30
USD0.019822021-02-25
USD0.027232021-02-01
20204.57%USD 0.35USD0.04842020-12-28
USD0.03472020-11-27
USD0.027962020-10-29
USD0.023562020-09-29
USD0.023822020-08-28
USD0.029762020-07-30
USD0.030582020-06-29
USD0.030932020-05-28
USD0.030392020-04-29
USD0.023112020-03-30
USD0.023652020-02-27
USD0.02292020-02-03
20195.47%USD 0.419USD0.039622019-12-27
USD0.024642019-11-27
USD0.02622019-10-30
USD0.032442019-09-27
USD0.033652019-08-29
USD0.036972019-07-30
USD0.037832019-06-27
USD0.036392019-05-30
USD0.037212019-04-29
USD0.037472019-03-28
USD0.038882019-02-27
USD0.037572019-02-04
20185.06%USD 0.387USD0.06272018-12-27
USD0.036662018-11-29
USD0.033212018-10-30
USD0.032532018-09-27
USD0.031132018-08-30
USD0.032032018-07-30
USD0.030092018-06-28
USD0.030892018-05-30
USD0.03132018-04-27
USD0.031852018-03-28
USD0.033122018-02-27
USD0.001732018-02-02
20177.49%USD 0.574USD0.085822017-12-28
USD0.041282017-11-29
USD0.04182017-10-30
USD0.043162017-09-28
USD0.042622017-08-30
USD0.044882017-07-28
USD0.044332017-06-29
USD0.044482017-05-30
USD0.044642017-04-27
USD0.043742017-03-30
USD0.047142017-02-27
USD0.049692017-02-02
20168.62%USD 0.661USD0.052822016-12-29
USD0.048072016-11-29
USD0.060982016-10-28
USD0.061222016-09-29
USD0.060172016-08-30
USD0.060422016-07-28
USD0.06082016-06-29
USD0.061292016-05-27
USD0.061052016-04-28
USD0.060032016-03-30
USD0.060892016-02-26
USD0.012832016-02-02
20159.87%USD 0.756USD0.138222015-12-30
USD0.060552015-11-27
USD0.060352015-10-29
USD0.060282015-09-29
USD0.060452015-08-28
USD0.060122015-07-30
USD0.060532015-06-29
USD0.060612015-05-28
USD0.060522015-04-29
USD0.060812015-03-30
USD0.061512015-02-26
USD0.011722015-02-03
20149.98%USD 0.764USD0.145022014-12-30
USD0.061052014-11-26
USD0.060432014-10-30
USD0.06062014-09-29
USD0.060642014-08-28
USD0.060272014-07-30
USD0.060452014-06-27
USD0.060192014-05-29
USD0.061062014-04-29
USD0.061322014-03-28
USD0.061882014-02-27
USD0.011572014-02-04
20139.66%USD 0.74USD0.12262013-12-30
USD0.061422013-11-27
USD0.06032013-10-30
USD0.060712013-09-27
USD0.060512013-08-29
USD0.060192013-07-30
USD0.060732013-06-27
USD0.060192013-05-30
USD0.060362013-04-29
USD0.060612013-03-27
USD0.060762013-02-27
USD0.011742013-02-04
20129.67%USD 0.741USD0.127672012-12-28
USD0.060042012-11-29
USD0.060282012-10-31
USD0.060382012-09-27
USD0.060052012-08-30
USD0.060042012-07-30
USD0.060012012-06-28
USD0.060012012-05-30
USD0.060162012-04-27
USD0.060072012-03-29
USD0.060492012-02-28
USD0.011772012-02-02
20119.99%USD 0.765USD0.147242011-12-29
USD0.060342011-11-29
USD0.060532011-10-28
USD0.060462011-09-29
USD0.06042011-08-30
USD0.060562011-07-28
USD0.060392011-06-29
USD0.060522011-05-27
USD0.060522011-04-28
USD0.060312011-03-30
USD0.060722011-02-25
USD0.013142011-02-02
201011.26%USD 0.863USD0.202412010-12-30
USD0.064222010-11-29
USD0.06412010-10-28
USD0.063692010-09-29
USD0.063382010-08-30
USD0.063662010-07-29
USD0.063562010-06-29
USD0.063742010-05-27
USD0.064482010-04-29
USD0.064192010-03-30
USD0.06472010-02-25
USD0.020752010-02-01
200910.62%USD 0.814USD0.157582009-12-30
USD0.062009-11-27
USD0.0612009-10-29
USD0.0612009-09-29
USD0.0612009-08-28
USD0.0612009-07-30
USD0.0622009-06-29
USD0.072009-06-02
USD0.0622009-04-29
USD0.0622009-03-30
USD0.062009-02-26
USD0.0362009-01-29
20084.21%USD 0.323USD0.322692008-12-31
20073.02%USD 0.231USD0.231142007-12-27
20063.24%USD 0.248USD0.247962006-12-28