PARNASSUS FUND INVESTOR SHARES(PARNX) USD 47.49
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.09%USD 0.52USD0.519882022-11-17
20216.10%USD 2.896USD0.93372021-12-22
USD1.96212021-11-18
20206.73%USD 3.195USD0.05542020-12-17
USD3.13982020-11-19
20194.48%USD 2.127USD1.2792019-12-27
USD0.84782019-11-21
20186.77%USD 3.217USD0.53632018-12-27
USD2.68062018-11-20
20178.09%USD 3.843USD0.44992017-12-27
USD3.39282017-11-21
20161.94%USD 0.919USD0.36372016-12-28
USD0.55572016-11-22
201516.73%USD 7.944USD1.77992015-12-30
USD6.16362015-11-24
20149.39%USD 4.458USD1.62222014-12-30
USD2.83572014-11-25
201317.58%USD 8.349USD1.94322013-12-27
USD6.40572013-11-22
20127.43%USD 3.529USD0.79782012-12-27
USD2.73142012-11-16
20116.62%USD 3.142USD0.12252011-12-28
USD3.0192011-11-18
20101.34%USD 0.635USD0.14782010-12-29
USD0.48692010-11-19
20090.17%USD 0.08USD0.07972009-12-30
20081.01%USD 0.48USD0.16832008-12-30
USD0.31192008-11-21
20073.37%USD 1.6USD0.06732007-12-28
USD1.5332007-11-16
20050.43%USD 0.204USD0.2042005-12-29
20040.27%USD 0.13USD0.132004-12-28
20030.17%USD 0.081USD0.0812003-12-29
20021.75%USD 0.832USD0.3212002-12-27
USD0.5112002-11-13
200111.15%USD 5.294USD1.5882001-12-28
USD3.7062001-11-14
200025.69%USD 12.2USD12.19982000-12-15