THE HIGH-YIELD BOND PORTFOLIO DPT CLASS(DPHYX) USD 7.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20212.56%USD 0.185USD0.1852021-07-20
20209.89%USD 0.714USD0.7142020-12-15
20195.40%USD 0.39USD0.392019-12-17
20187.12%USD 0.514USD0.5142018-12-19
20177.92%USD 0.572USD0.5722017-12-19
20166.27%USD 0.453USD0.4532016-12-19
20155.12%USD 0.37USD0.372015-12-17
20147.38%USD 0.533USD0.5332014-12-18
20137.52%USD 0.543USD0.5432013-12-18
20126.23%USD 0.45USD0.452012-12-18
20118.07%USD 0.583USD0.5832011-12-16
20108.57%USD 0.619USD0.6192010-12-17
20099.17%USD 0.662USD0.6622009-12-17
20087.20%USD 0.52USD0.522008-12-15
20078.01%USD 0.578USD0.5782007-12-14
20068.73%USD 0.63USD0.632006-12-15
20058.32%USD 0.601USD0.0512005-12-16
USD0.052005-11-22
USD0.052005-10-21
USD0.052005-09-22
USD0.052005-08-22
USD0.052005-07-22
USD0.052005-06-22
USD0.052005-05-20
USD0.052005-04-22
USD0.052005-03-22
USD0.052005-02-22
USD0.052005-01-21
200410.39%USD 0.75USD0.22004-12-17
USD0.052004-11-22
USD0.052004-10-22
USD0.052004-09-22
USD0.052004-08-20
USD0.052004-07-22
USD0.052004-06-22
USD0.052004-05-21
USD0.052004-04-22
USD0.052004-03-22
USD0.052004-02-20
USD0.052004-01-22
20039.11%USD 0.658USD0.1082003-12-15
USD0.052003-11-21
USD0.052003-10-22
USD0.052003-09-22
USD0.052003-08-22
USD0.052003-07-22
USD0.052003-06-20
USD0.052003-05-22
USD0.052003-04-22
USD0.052003-03-21
USD0.052003-02-21
USD0.052003-01-22
20028.86%USD 0.64USD0.092002-12-13
USD0.052002-11-22
USD0.052002-10-17
USD0.052002-09-20
USD0.052002-08-22
USD0.052002-07-22
USD0.052002-06-21
USD0.052002-05-22
USD0.052002-04-22
USD0.052002-03-22
USD0.052002-02-22
USD0.052002-01-22
20019.97%USD 0.72USD0.172001-12-14
USD0.052001-11-21
USD0.052001-10-22
USD0.052001-09-21
USD0.052001-08-22
USD0.052001-07-20
USD0.052001-06-22
USD0.052001-05-22
USD0.052001-04-20
USD0.052001-03-22
USD0.052001-02-22
USD0.052001-01-22
200015.12%USD 1.092USD0.5422000-12-15
USD0.052000-11-22
USD0.052000-10-20
USD0.052000-09-22
USD0.052000-08-22
USD0.052000-07-21
USD0.052000-06-22
USD0.052000-05-22
USD0.052000-04-24
USD0.052000-03-22
USD0.052000-02-22
USD0.052000-01-21