BOND MARKET INDEX FUND R-3(PBOIX) USD 8.43
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.03%USD 0.087USD0.0872022-12-21
20211.57%USD 0.132USD0.10062021-12-21
USD0.03162021-12-20
202021.79%USD 1.837USD0.61672020-12-21
USD1.21982020-12-18
20192.37%USD 0.2USD0.19972019-12-20
20182.34%USD 0.197USD0.19722018-12-20
20172.34%USD 0.197USD0.19722017-12-21
20161.64%USD 0.138USD0.13682016-12-22
USD0.00132016-12-20
20151.91%USD 0.161USD0.14672015-12-21
USD0.01442015-12-17
20142.15%USD 0.181USD0.15932014-12-19
USD0.0222014-12-17
20132.29%USD 0.193USD0.19292013-12-20
20122.34%USD 0.197USD0.19172012-12-21
USD0.00522012-12-19
20112.64%USD 0.222USD0.22222011-12-21
20102.34%USD 0.198USD0.1512010-12-21
USD0.01862010-12-10
USD0.0282010-04-30