SALIENT SELECT INCOME FUND CLASS C(KIFCX) USD 17.1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20225.71%USD 0.976USD0.29622022-12-27
USD0.2462022-09-27
USD0.2112022-06-27
USD0.2232022-03-28
20215.25%USD 0.897USD0.2442021-12-28
USD0.2242021-09-27
USD0.2282021-06-24
USD0.2012021-03-25
20204.75%USD 0.813USD0.2372020-12-28
USD0.1882020-09-24
USD0.1882020-06-25
USD0.22020-03-26
20195.51%USD 0.943USD0.2782019-12-26
USD0.212019-09-25
USD0.2342019-06-25
USD0.2212019-03-26
20185.74%USD 0.981USD0.2672018-12-26
USD0.2382018-09-25
USD0.2332018-06-26
USD0.2432018-03-26
201711.12%USD 1.901USD0.2612017-12-26
USD0.888052017-12-07
USD0.2542017-09-26
USD0.2822017-06-27
USD0.2162017-03-28
20168.20%USD 1.403USD0.2162016-12-27
USD0.417932016-12-08
USD0.2182016-09-27
USD0.2892016-06-27
USD0.2622016-03-28
201515.41%USD 2.635USD0.3072015-12-28
USD1.613312015-12-08
USD0.2962015-09-25
USD0.2372015-06-25
USD0.1822015-03-26
201410.65%USD 1.822USD0.3012014-12-26
USD0.668852014-12-08
USD0.2642014-09-25
USD0.272014-06-25
USD0.3182014-03-26
201310.41%USD 1.779USD0.3712013-12-26
USD0.424262013-12-06
USD0.3372013-09-25
USD0.3282013-06-25
USD0.3192013-03-25
20129.26%USD 1.583USD0.3982012-12-26
USD0.3852012-09-25
USD0.3942012-06-26
USD0.4062012-03-27
201110.33%USD 1.767USD0.4092011-12-29
USD0.4472011-09-29
USD0.4882011-06-29
USD0.4232011-03-30
201010.87%USD 1.859USD0.4662010-12-30
USD0.4392010-09-29
USD0.4932010-06-29
USD0.4612010-03-30
200911.26%USD 1.926USD0.4662009-12-30
USD0.4592009-09-29
USD0.4712009-06-29
USD0.532009-03-25
200813.22%USD 2.26USD0.562008-12-23
USD0.572008-09-25
USD0.562008-06-25
USD0.572008-03-25
200713.33%USD 2.28USD0.632007-12-24
USD0.552007-09-24
USD0.552007-06-28
USD0.552007-03-29
200612.81%USD 2.19USD0.552006-12-14
USD0.552006-09-14
USD0.532006-06-14
USD0.562006-03-14
200513.22%USD 2.26USD0.562005-12-14
USD0.562005-09-14
USD0.572005-06-14
USD0.572005-03-14
200413.74%USD 2.35USD0.682004-12-14
USD0.572004-09-14
USD0.552004-06-14
USD0.552004-03-12
200313.63%USD 2.33USD0.642003-12-11
USD0.562003-09-11
USD0.562003-06-12
USD0.572003-03-13