DEUTSCHE CROCI EQUITY DIVIDEND FUND CLASS C(KDHCX) USD 52.48
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.44%USD 0.232USD0.23182023-03-24
20225.40%USD 2.836USD2.15932022-12-15
USD0.27082022-09-23
USD0.19882022-06-23
USD0.20722022-03-24
20219.20%USD 4.83USD4.09952021-12-15
USD0.18452021-09-23
USD0.27772021-06-23
USD0.2682021-03-24
20204.71%USD 2.473USD0.23862020-12-15
USD0.1882020-09-23
USD1.83912020-06-23
USD0.20742020-03-24
20197.30%USD 3.831USD1.86232019-12-16
USD0.13872019-09-23
USD0.15882019-06-21
USD1.67072019-03-22
201810.72%USD 5.627USD5.20272018-12-17
USD0.12018-09-21
USD0.16252018-06-22
USD0.16172018-03-22
20170.97%USD 0.51USD0.11112017-12-15
USD0.11572017-09-22
USD0.15942017-06-23
USD0.12332017-03-24
20161.01%USD 0.533USD0.13652016-12-15
USD0.12822016-09-23
USD0.13332016-06-23
USD0.13462016-03-23
20151.23%USD 0.647USD0.14052015-12-15
USD0.14232015-09-23
USD0.20162015-06-23
USD0.16242015-03-24
20140.89%USD 0.467USD0.12462014-12-16
USD0.11292014-09-23
USD0.1122014-06-23
USD0.1172014-03-24
20131.21%USD 0.635USD0.1312013-12-16
USD0.1432013-09-23
USD0.2122013-06-21
USD0.1492013-03-21
20121.01%USD 0.529USD0.1842012-12-17
USD0.1312012-09-21
USD0.1212012-06-22
USD0.0932012-03-23
20110.24%USD 0.126USD0.092011-12-15
USD0.0362011-09-23
20100.18%USD 0.095USD0.0242010-12-15
USD0.0292010-09-23
USD0.0422010-06-23
20090.48%USD 0.25USD0.0182009-12-16
USD0.0262009-09-23
USD0.1062009-06-23
USD0.12009-03-24
20080.81%USD 0.425USD0.1242008-12-16
USD0.0912008-09-23
USD0.1082008-06-23
USD0.1022008-03-24
20071.21%USD 0.634USD0.292007-12-14
USD0.1282007-09-21
USD0.122007-06-22
USD0.0962007-03-23
20060.88%USD 0.464USD0.2392006-12-15
USD0.0792006-09-22
USD0.0842006-06-23
USD0.0622006-03-24
20050.56%USD 0.295USD0.0942005-12-20
USD0.0662005-09-23
USD0.0672005-06-23
USD0.0682005-03-24
20040.57%USD 0.298USD0.0682004-12-16
USD0.0732004-09-23
USD0.0782004-06-23
USD0.0792004-03-24
20030.59%USD 0.31USD0.072003-12-17
USD0.0722003-09-23
USD0.0732003-06-23
USD0.0952003-03-24
20020.51%USD 0.269USD0.0892002-12-18
USD0.0762002-09-23
USD0.0562002-06-21
USD0.0482002-03-21
20010.33%USD 0.173USD0.0322001-12-20
USD0.0412001-09-21
USD0.0332001-06-22
USD0.0672001-03-23
20000.69%USD 0.364USD0.0912000-12-21
USD0.0682000-09-22
USD0.0922000-06-23
USD0.1132000-03-24