REAL ESTATE FUND A CLASS(AREEX) USD 22.99
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.34%USD 0.077USD0.07742023-03-21
202210.95%USD 2.518USD2.15462022-12-21
USD0.16832022-09-20
USD0.13352022-06-21
USD0.06152022-03-22
202116.59%USD 3.814USD3.51242021-12-21
USD0.11742021-09-21
USD0.13272021-06-22
USD0.05182021-03-23
20201.72%USD 0.395USD0.11422020-12-22
USD0.11152020-09-22
USD0.11952020-06-16
USD0.04952020-03-10
201910.99%USD 2.526USD2.19122019-12-20
USD0.13992019-09-17
USD0.12882019-06-18
USD0.06562019-03-19
20188.32%USD 1.913USD0.17562018-12-20
USD1.13112018-12-18
USD0.17442018-09-18
USD0.25882018-06-19
USD0.17282018-03-20
20175.56%USD 1.279USD0.03032017-12-26
USD1.24862017-12-19
201614.09%USD 3.239USD0.32882016-12-27
USD2.61232016-12-20
USD0.09362016-09-20
USD0.18382016-06-21
USD0.02052016-03-15
20152.93%USD 0.673USD0.44012015-12-28
USD0.1222015-09-08
USD0.08372015-06-09
USD0.02722015-03-10
20142.25%USD 0.517USD0.24522014-12-23
USD0.11032014-09-09
USD0.12212014-06-10
USD0.03962014-03-11
20131.90%USD 0.438USD0.12622013-12-23
USD0.11962013-09-10
USD0.16762013-06-11
USD0.02452013-03-12
20120.86%USD 0.197USD0.1792012-12-26
USD0.01832012-09-18
20111.01%USD 0.231USD0.20972011-12-27
USD0.02152011-09-20
20100.83%USD 0.191USD0.05522010-12-28
USD0.06392010-09-21
USD0.01552010-06-15
USD0.05652010-03-23
20091.02%USD 0.234USD0.06172009-12-29
USD0.0412009-09-15
USD0.10482009-06-16
USD0.02632009-03-17
20081.47%USD 0.338USD0.23672008-12-29
USD0.09862008-09-16
USD0.0032008-06-17
200719.34%USD 4.446USD0.17872007-12-28
USD3.98572007-12-11
USD0.10812007-09-11
USD0.16962007-06-12
USD0.00362007-03-13
200616.58%USD 3.811USD0.13572006-12-27
USD3.36812006-12-12
USD0.09162006-09-12
USD0.18432006-06-13
USD0.0312006-03-14
200513.66%USD 3.139USD0.15012005-12-28
USD2.70522005-12-06
USD0.19522005-09-13
USD0.04442005-06-14
USD0.04442005-03-15
20049.01%USD 2.072USD0.20222004-12-28
USD1.63982004-12-07
USD0.09482004-09-14
USD0.06022004-06-15
USD0.07462004-03-16
20032.75%USD 0.632USD0.17642003-12-31
USD0.14982003-12-09
USD0.12122003-09-16
USD0.11452003-06-17
USD0.07052003-03-18
20022.18%USD 0.502USD0.14942002-12-31
USD0.14142002-09-30
USD0.13572002-06-28
USD0.0752002-03-28
20010.49%USD 0.113USD0.11252001-12-07