DEUTSCHE GLOBAL INCOME BUILDER FUND CLASS C(KTRCX) USD 8.84
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.41%USD 0.037USD0.03652023-03-24
20221.73%USD 0.153USD0.03862022-12-15
USD0.04172022-09-23
USD0.05152022-06-23
USD0.02152022-03-24
202110.75%USD 0.95USD0.83832021-12-15
USD0.04142021-09-23
USD0.04692021-06-23
USD0.02342021-03-24
20202.00%USD 0.177USD0.02342020-12-15
USD0.04462020-09-23
USD0.05422020-06-23
USD0.0552020-03-24
20192.70%USD 0.239USD0.0562019-12-16
USD0.05922019-09-23
USD0.06142019-06-21
USD0.0622019-03-22
20184.05%USD 0.358USD0.0152018-12-31
USD0.15182018-12-17
USD0.07082018-09-21
USD0.06052018-06-22
USD0.06032018-03-22
20179.95%USD 0.88USD0.73972017-12-15
USD0.05942017-09-22
USD0.04492017-06-23
USD0.03582017-03-24
20162.01%USD 0.178USD0.05142016-12-15
USD0.03132016-09-23
USD0.05252016-06-23
USD0.04262016-03-23
20153.22%USD 0.285USD0.0652015-12-15
USD0.08252015-09-23
USD0.07612015-06-23
USD0.06092015-03-24
201411.30%USD 0.999USD0.80442014-12-16
USD0.07862014-09-23
USD0.06152014-06-23
USD0.05472014-03-24
20134.23%USD 0.374USD0.22142013-12-16
USD0.06362013-09-23
USD0.04942013-06-21
USD0.03922013-03-21
20124.78%USD 0.423USD0.31412012-12-17
USD0.05472012-09-21
USD0.03572012-06-22
USD0.0182012-03-23
20110.72%USD 0.064USD0.01852011-12-15
USD0.01472011-09-23
USD0.01592011-06-23
USD0.01472011-03-24
20101.20%USD 0.106USD0.00732010-12-15
USD0.01892010-09-23
USD0.01442010-06-23
USD0.0312010-04-01
USD0.03442010-03-24
20091.65%USD 0.146USD0.10172009-12-16
USD0.01082009-09-23
USD0.0162009-06-23
USD0.01732009-03-24
20081.74%USD 0.153USD0.01812008-12-16
USD0.03742008-09-23
USD0.04632008-06-23
USD0.05162008-03-24
20072.88%USD 0.255USD0.10192007-12-14
USD0.03772007-09-21
USD0.05762007-06-22
USD0.05762007-03-23
20061.90%USD 0.168USD0.07772006-12-15
USD0.02882006-09-22
USD0.03122006-06-23
USD0.03072006-03-24
20051.58%USD 0.14USD0.0452005-12-20
USD0.032005-09-23
USD0.032005-06-23
USD0.0352005-03-24
20040.96%USD 0.085USD0.0342004-12-20
USD0.0152004-09-23
USD0.0152004-06-23
USD0.0212004-03-24
20030.71%USD 0.063USD0.0162003-12-19
USD0.0152003-09-23
USD0.0122003-06-23
USD0.022003-03-24
20021.29%USD 0.114USD0.0252002-12-20
USD0.0272002-09-23
USD0.0312002-06-21
USD0.0312002-03-21
20011.70%USD 0.15USD0.0372001-12-20
USD0.0382001-09-21
USD0.032001-06-22
USD0.0452001-03-23
20001.91%USD 0.169USD0.0422000-12-21
USD0.0362000-09-22
USD0.0452000-06-23
USD0.0462000-03-24