PRUDENTIAL UTILITY FUND D/B/A PRUDENTIAL JENNISON UTILITY FUND CLASS C(PCUFX) USD 14.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.17%USD 0.025USD0.024762023-03-17
20227.87%USD 1.134USD1.022542022-12-16
USD0.023632022-09-16
USD0.042542022-06-17
USD0.045312022-03-18
202114.79%USD 2.131USD2.060132021-12-20
USD0.020182021-09-17
USD0.051062021-03-19
20201.52%USD 0.218USD0.111322020-12-18
USD0.050882020-09-18
USD0.056172020-03-20
20195.41%USD 0.78USD0.633862019-12-24
USD0.0432019-09-20
USD0.056792019-06-21
USD0.045912019-03-22
20187.56%USD 1.09USD0.927382018-12-24
USD0.036652018-09-21
USD0.065972018-06-22
USD0.05992018-03-23
20173.43%USD 0.494USD0.366372017-12-26
USD0.056062017-09-22
USD0.031652017-06-23
USD0.039862017-03-24
20166.23%USD 0.898USD0.756772016-12-23
USD0.037032016-09-23
USD0.095562016-06-17
USD0.00912016-03-18
20159.28%USD 1.338USD1.262552015-12-18
USD0.017252015-09-18
USD0.030572015-06-19
USD0.027282015-03-20
201412.38%USD 1.784USD0.0412014-12-22
USD1.572072014-12-19
USD0.029222014-09-19
USD0.034282014-06-20
USD0.107552014-03-21
20133.55%USD 0.511USD0.250232013-12-20
USD0.023662013-09-20
USD0.207842013-06-21
USD0.029682013-03-22
20121.51%USD 0.218USD0.097992012-12-21
USD0.034192012-09-21
USD0.054432012-06-22
USD0.031432012-03-23
20111.24%USD 0.179USD0.03482011-12-16
USD0.047642011-09-16
USD0.038642011-06-17
USD0.057722011-03-18
20101.13%USD 0.163USD0.042572010-12-17
USD0.048822010-09-17
USD0.02682010-06-18
USD0.045192010-03-19
20090.90%USD 0.129USD0.0172009-12-18
USD0.0332009-09-18
USD0.0522009-06-19
USD0.0272009-03-20
20080.69%USD 0.099USD0.042008-12-19
USD0.022008-09-19
USD0.0392008-06-20
20071.34%USD 0.193USD0.0142007-12-21
USD0.1192007-09-20
USD0.0562007-06-14
USD0.0042007-03-15
20063.41%USD 0.492USD0.2712006-12-21
USD0.0812006-09-28
USD0.1212006-06-29
USD0.0192006-03-30
20051.08%USD 0.155USD0.0712005-12-14
USD0.0322005-09-29
USD0.0262005-06-29
USD0.0262005-03-30
20040.67%USD 0.097USD0.0252004-12-08
USD0.0242004-09-30
USD0.0242004-06-29
USD0.0242004-03-30
20030.78%USD 0.112USD0.0322003-12-04
USD0.032003-09-29
USD0.0252003-06-27
USD0.0252003-03-28
20020.72%USD 0.104USD0.0322002-12-05
USD0.0322002-09-27
USD0.022002-06-24
USD0.022002-03-27
20010.83%USD 0.119USD0.032001-12-03
USD0.0262001-09-19
USD0.0262001-06-28
USD0.0372001-03-29
20001.49%USD 0.214USD0.0482000-12-06
USD0.0482000-09-28
USD0.072000-06-29
USD0.0482000-03-30