ANFIELD UNIVERSAL FIXED INCOME FUND ANFIELD UNIVERSAL FIXED INCOME FUND CLASS C(AFLKX) USD 8.61
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.04%USD 0.09USD0.03642023-03-30
USD0.02972023-02-27
USD0.02362023-01-30
20222.95%USD 0.254USD0.05842022-12-07
USD0.03022022-11-29
USD0.02272022-10-28
USD0.0262022-09-29
USD0.01882022-08-30
USD0.01532022-07-29
USD0.01832022-06-29
USD0.01552022-05-27
USD0.01532022-04-28
USD0.01782022-03-30
USD0.00872022-02-28
USD0.00712022-01-31
20211.50%USD 0.129USD0.00342021-12-08
USD0.01322021-11-29
USD0.01282021-10-28
USD0.01482021-09-29
USD0.01072021-08-30
USD0.01242021-07-29
USD0.01142021-06-29
USD0.01412021-05-27
USD0.00922021-04-29
USD0.01372021-03-30
USD0.00712021-02-25
USD0.00662021-01-28
20203.86%USD 0.333USD0.10052020-12-10
USD0.07242020-11-27
USD0.03422020-10-29
USD0.03882020-09-29
USD0.00722020-08-28
USD0.00642020-07-30
USD0.01192020-06-29
USD0.00842020-05-28
USD0.012020-04-29
USD0.01822020-03-30
USD0.01162020-02-27
USD0.0132020-01-30
20192.18%USD 0.188USD0.01472019-12-10
USD0.01422019-11-27
USD0.01432019-10-30
USD0.01342019-09-27
USD0.01652019-08-29
USD0.01432019-07-30
USD0.02382019-06-27
USD0.01742019-05-30
USD0.01772019-04-29
USD0.0172019-03-28
USD0.01112019-02-27
USD0.01352019-01-30
20181.92%USD 0.166USD0.03922018-12-11
USD0.00672018-11-29
USD0.01272018-10-30
USD0.01192018-09-27
USD0.01442018-08-30
USD0.0112018-07-30
USD0.01222018-06-28
USD0.01472018-05-30
USD0.00792018-04-27
USD0.00872018-03-28
USD0.01182018-02-27
USD0.01442018-01-30
20171.47%USD 0.127USD0.05132017-12-12
USD0.01112017-11-29
USD0.00222017-10-30
USD0.00582017-08-30
USD0.00462017-07-28
USD0.00592017-06-29
USD0.00562017-05-30
USD0.0072017-04-27
USD0.01442017-03-30
USD0.00842017-02-27
USD0.01062017-01-30
20162.38%USD 0.205USD0.01782016-12-14
USD0.01682016-11-29
USD0.02032016-10-28
USD0.01252016-08-30
USD0.02082016-07-28
USD0.02062016-06-29
USD0.03392016-05-27
USD0.01752016-04-28
USD0.02162016-03-30
USD0.00662016-02-26
USD0.01652016-01-28
20152.46%USD 0.212USD0.03682015-12-17
USD0.01062015-11-27
USD0.02542015-10-29
USD0.01812015-09-29
USD0.01242015-08-28
USD0.0172015-07-30
USD0.01722015-06-29
USD0.01692015-05-28
USD0.01552015-04-29
USD0.0142015-03-30
USD0.0142015-02-26
USD0.01432015-01-29
20141.36%USD 0.117USD0.04762014-12-17
USD0.01162014-11-26
USD0.0152014-10-30
USD0.0142014-09-29
USD0.01292014-08-28
USD0.00772014-07-30
USD0.00852014-06-27
20130.02%USD 0.002USD0.00162013-12-17