ALLIANZGI NFJ LARGE-CAP VALUE FUND C(PNBCX) USD 25.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.04%USD 0.01USD0.010162023-03-16
202218.14%USD 4.663USD4.638622022-12-22
USD0.019572022-09-22
USD0.005282022-06-16
20217.54%USD 1.939USD1.913452021-12-16
USD0.02542021-03-18
20200.56%USD 0.145USD1.0E-52020-12-17
USD0.037582020-06-18
USD0.107292020-03-19
20192.73%USD 0.703USD0.55012019-12-19
USD0.021462019-09-19
USD0.057692019-06-20
USD0.073622019-03-21
20180.61%USD 0.156USD0.050092018-12-20
USD0.031032018-09-20
USD0.049262018-06-21
USD0.025422018-03-22
20170.87%USD 0.224USD0.016922017-12-21
USD0.119542017-09-21
USD0.061452017-06-22
USD0.026212017-03-16
20160.64%USD 0.164USD1.0E-52016-12-22
USD0.040762016-09-22
USD0.065552016-06-16
USD0.05772016-03-17
20150.67%USD 0.171USD0.029472015-12-17
USD0.042752015-09-17
USD0.060882015-06-18
USD0.037992015-03-19
20140.44%USD 0.114USD1.0E-52014-12-18
USD0.037352014-09-18
USD0.038162014-06-19
USD0.038792014-03-20
20130.73%USD 0.187USD0.057942013-12-19
USD0.038252013-09-19
USD0.045022013-06-20
USD0.045322013-03-21
20120.48%USD 0.124USD1.0E-52012-12-20
USD0.039262012-09-20
USD0.054292012-06-21
USD0.030242012-03-22
20110.84%USD 0.216USD0.076482011-12-22
USD0.056092011-09-22
USD0.041512011-06-16
USD0.041472011-03-17
20100.77%USD 0.199USD0.055822010-12-16
USD0.041372010-09-16
USD0.051032010-06-17
USD0.050632010-03-18
20090.53%USD 0.136USD0.027822009-09-17
USD0.03432009-06-18
USD0.074142009-03-19
20080.76%USD 0.197USD0.013082008-12-18
USD0.069752008-09-18
USD0.050752008-06-19
USD0.06312008-03-20
20071.64%USD 0.422USD0.291512007-12-13
USD0.037592007-09-20
USD0.03622007-06-21
USD0.057172007-03-22
20061.93%USD 0.497USD0.0012006-12-21
USD0.405522006-12-14
USD0.02652006-09-21
USD0.026262006-06-22
USD0.037992006-03-23
20051.90%USD 0.487USD0.043422005-12-16
USD0.369982005-12-13
USD0.024882005-09-22
USD0.034192005-06-23
USD0.0152005-03-24
20040.29%USD 0.075USD0.0472004-12-15
USD0.0182004-09-16
USD0.0052004-06-17
USD0.0052004-03-18
20030.63%USD 0.162USD0.0742003-12-15
USD0.0162003-09-18
USD0.0722003-06-19