Destinations Core Fixed Income Fund(DCFFX) USD 8.43
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.09%USD 0.092USD0.030582023-03-30
USD0.030622023-02-27
USD0.030992023-01-30
20222.41%USD 0.203USD0.030962022-12-29
USD0.021232022-11-29
USD0.016732022-10-27
USD0.018412022-09-29
USD0.019292022-08-29
USD0.015522022-07-28
USD0.015512022-06-29
USD0.016562022-05-26
USD0.014832022-04-28
USD0.012242022-03-30
USD0.011282022-02-24
USD0.010722022-01-27
20214.55%USD 0.383USD0.010722021-12-29
USD0.279292021-12-16
USD0.011552021-11-29
USD0.010992021-10-28
USD0.010812021-09-29
USD0.010982021-08-30
USD0.010272021-07-29
USD0.011622021-06-29
USD0.009322021-05-27
USD0.009272021-04-29
USD0.008522021-03-30
20203.13%USD 0.264USD0.040782020-12-29
USD0.033982020-12-16
USD0.016362020-11-25
USD0.016112020-10-29
USD0.016472020-09-29
USD0.017172020-08-28
USD0.016862020-07-30
USD0.019472020-06-29
USD0.017342020-05-28
USD0.020812020-04-29
USD0.02052020-03-30
USD0.022552020-02-27
USD0.005142020-01-30
20193.45%USD 0.291USD0.038632019-12-27
USD0.022752019-11-26
USD0.022172019-10-30
USD0.023552019-09-26
USD0.023852019-08-29
USD0.02292019-07-30
USD0.024822019-06-27
USD0.024452019-05-30
USD0.025712019-04-29
USD0.024292019-03-28
USD0.02322019-02-27
USD0.014572019-01-30
20183.09%USD 0.26USD0.031242018-12-27
USD0.024082018-11-29
USD0.024032018-10-30
USD0.0232018-09-27
USD0.022852018-08-30
USD0.021142018-07-30
USD0.020992018-06-28
USD0.021852018-05-30
USD0.02132018-04-27
USD0.019242018-03-28
USD0.017892018-02-27
USD0.012462018-01-30
20172.09%USD 0.176USD0.023632017-12-28
USD0.015872017-12-15
USD0.019312017-11-29
USD0.017962017-10-30
USD0.019012017-09-28
USD0.018012017-08-30
USD0.019592017-07-27
USD0.024252017-06-29
USD0.018522017-05-30