DREYFUS INSTITUTIONAL S&P 500 STOCK INDEX FUND DREYFUS INSTITUTIONAL S&P 500 STOCK INDEX FUND - CLASS I(DSPIX) USD 57.53
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202216.86%USD 9.701USD8.98332022-12-22
USD0.2372022-11-02
USD0.252022-08-02
USD0.2312022-05-03
202117.20%USD 9.897USD9.1792021-12-22
USD0.2392021-11-02
USD0.2382021-08-03
USD0.2412021-05-04
20205.45%USD 3.134USD2.39522020-12-24
USD0.2342020-11-03
USD0.242020-08-04
USD0.2652020-05-04
20195.22%USD 3.005USD2.24532019-12-26
USD0.2612019-11-04
USD0.2462019-08-02
USD0.2532019-05-02
20185.29%USD 3.041USD2.32532018-12-26
USD0.2462018-11-02
USD0.2382018-08-02
USD0.2322018-05-02
20172.35%USD 1.352USD0.68432017-12-27
USD0.2372017-11-02
USD0.232017-08-02
USD0.2012017-05-02
20162.28%USD 1.312USD0.68372016-12-28
USD0.2122016-11-02
USD0.2022016-08-02
USD0.2142016-05-03
20151.91%USD 1.096USD0.4922015-12-29
USD0.2042015-11-03
USD0.2012015-08-04
USD0.1992015-05-04
20141.25%USD 0.717USD0.18662014-12-29
USD0.1812014-11-04
USD0.1822014-08-04
USD0.1672014-05-02
20131.12%USD 0.647USD0.19272013-12-27
USD0.1572013-11-04
USD0.1532013-08-02
USD0.1442013-05-02
20121.01%USD 0.583USD0.1852012-12-27
USD0.1362012-11-02
USD0.1392012-08-02
USD0.1232012-05-02
20110.83%USD 0.479USD0.12922011-12-28
USD0.1152011-11-02
USD0.1172011-08-02
USD0.1182011-05-03
20100.76%USD 0.436USD0.10822010-12-29
USD0.1232010-11-02
USD0.1052010-08-03
USD0.12010-05-04
20090.76%USD 0.439USD0.0962009-12-29
USD0.122009-11-03
USD0.1022009-08-04
USD0.1152009-05-04
USD0.0062009-03-26
20081.48%USD 0.853USD0.4392008-12-29
USD0.1192008-11-04
USD0.15852008-08-04
USD0.1362008-05-02
20070.98%USD 0.563USD0.1592007-12-27
USD0.14352007-11-02
USD0.1332007-08-02
USD0.1272007-05-02
20060.87%USD 0.499USD0.1432006-12-27
USD0.1212006-11-02
USD0.12932006-08-02
USD0.1062006-05-02
20050.72%USD 0.414USD0.1252005-12-28
USD0.1042005-11-01
USD0.10372005-08-02
USD0.08092005-05-03
20040.76%USD 0.44USD0.22332004-12-28
USD0.07082004-11-02
USD0.07252004-08-03
USD0.0732004-05-04
20030.56%USD 0.324USD0.10212003-12-09
USD0.0852003-11-04
USD0.0722003-08-04
USD0.0652003-05-02
20020.50%USD 0.288USD0.0852002-12-09
USD0.0622002-11-05
USD0.0012002-10-31
USD0.0722002-08-02
USD0.0012002-06-28
USD0.0672002-05-03
20010.50%USD 0.29USD0.0852001-12-06
USD0.0732001-11-02
USD0.072001-08-02
USD0.0622001-05-04
20000.71%USD 0.41USD0.122000-12-27
USD0.082000-11-03
USD0.072000-08-04
USD0.072000-05-31
USD0.072000-05-05