ALLIANZGI CONVERTIBLE FUND CLASS A(ANZAX) USD 31.58
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.24%USD 0.076USD0.075932023-03-16
20221.19%USD 0.377USD0.24882022-12-22
USD0.066752022-09-22
USD0.032972022-06-16
USD0.028162022-03-17
202124.23%USD 7.651USD7.55692021-12-16
USD0.050282021-09-16
USD0.000752021-06-17
USD0.042782021-03-18
20209.21%USD 2.91USD2.775482020-12-17
USD0.051562020-09-17
USD0.055082020-06-18
USD0.027442020-03-19
20194.39%USD 1.385USD1.209022019-12-19
USD0.056172019-09-19
USD0.063922019-06-20
USD0.05582019-03-21
201814.16%USD 4.471USD4.275812018-12-20
USD0.074432018-09-20
USD0.066532018-06-21
USD0.05432018-03-22
201720.83%USD 6.578USD6.194822017-12-21
USD0.124762017-09-21
USD0.127152017-06-22
USD0.131712017-03-16
20162.44%USD 0.772USD0.382572016-12-22
USD0.13762016-09-22
USD0.121922016-06-16
USD0.006332016-06-09
USD0.12352016-03-17
20159.31%USD 2.941USD0.146812015-12-17
USD2.503032015-12-10
USD0.088032015-09-17
USD0.086162015-06-18
USD0.116832015-03-19
201410.34%USD 3.266USD0.254812014-12-18
USD2.291542014-12-11
USD0.089752014-09-18
USD0.413332014-08-07
USD0.121852014-06-19
USD0.094272014-03-20
20133.76%USD 1.187USD0.422692013-12-19
USD0.427392013-12-12
USD0.114612013-09-19
USD0.124312013-06-20
USD0.097672013-03-21
20121.71%USD 0.539USD0.149522012-12-20
USD0.070352012-09-20
USD0.000422012-08-02
USD0.083742012-06-21
USD0.235312012-03-22
20117.35%USD 2.322USD0.361272011-12-22
USD1.573452011-12-15
USD0.12552011-09-22
USD0.123712011-06-16
USD0.138512011-03-17
20101.52%USD 0.48USD0.270312010-12-16
USD0.152972010-09-16
USD0.056222010-06-17