STOCKSPLUS FUND A(PSPAX) USD 8.87
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20229.80%USD 0.869USD0.007982022-12-27
USD0.824192022-12-07
USD0.0082022-09-08
USD0.010172022-06-09
USD0.019072022-03-10
202120.61%USD 1.828USD0.073742021-12-28
USD1.282292021-12-08
USD0.202562021-09-09
USD0.070352021-06-10
USD0.199292021-03-11
20205.10%USD 0.453USD0.02132020-12-31
USD0.02132020-12-28
USD0.12322020-12-09
USD0.154752020-09-10
USD0.050572020-06-11
USD0.081632020-03-12
201916.75%USD 1.486USD0.033722019-12-26
USD0.913062019-12-11
USD0.230512019-09-12
USD0.188732019-06-13
USD0.11952019-03-14
201820.76%USD 1.842USD0.04842018-12-26
USD1.633282018-12-12
USD0.048382018-09-13
USD0.044232018-06-14
USD0.067512018-03-15
20171.33%USD 0.118USD0.035742017-12-27
USD0.014942017-09-14
USD0.034132017-06-15
USD0.033352017-03-16
20160.77%USD 0.069USD0.023512016-12-28
USD0.020732016-09-15
USD0.024412016-03-17
201510.15%USD 0.9USD0.034842015-12-29
USD0.750782015-12-16
USD0.072142015-09-17
USD0.042242015-06-18
201419.35%USD 1.716USD1.0E-52014-12-29
USD1.677032014-12-10
USD0.001352014-09-18
USD0.002432014-06-19
USD0.035592014-03-20
201313.33%USD 1.182USD0.168432013-12-27
USD0.733642013-12-11
USD0.118292013-09-19
USD0.122652013-06-20
USD0.03912013-03-21
201210.01%USD 0.888USD0.074892012-12-27
USD0.587042012-12-12
USD0.091122012-09-20
USD0.055792012-06-21
USD0.07912012-03-22
20119.44%USD 0.838USD0.16752011-12-28
USD0.487982011-12-07
USD0.054632011-09-15
USD0.08362011-06-16
USD0.043942011-03-17
20109.79%USD 0.868USD0.256632010-12-31
USD0.195242010-09-16
USD0.229532010-06-17
USD0.186962010-03-18
20088.99%USD 0.798USD0.122682008-12-30
USD0.265052008-09-18
USD0.205442008-06-19
USD0.204562008-03-20
20075.58%USD 0.495USD0.091972007-12-27
USD0.151622007-09-20
USD0.128422007-06-21
USD0.123092007-03-22
20064.72%USD 0.418USD0.115162006-12-27
USD0.113562006-09-21
USD0.065432006-06-22
USD0.124182006-03-23
20052.11%USD 0.187USD0.064272005-09-22
USD0.045622005-06-23
USD0.076832005-03-24
20048.04%USD 0.713USD0.161862004-12-29
USD0.012072004-12-13
USD0.165152004-09-16
USD0.087282004-06-17
USD0.286642004-03-18
20036.61%USD 0.586USD0.276632003-12-30
USD0.175362003-12-10
USD0.095452003-09-18
USD0.038492003-06-19
20022.29%USD 0.203USD0.117742002-12-30
USD0.085552002-03-21
20011.55%USD 0.137USD0.032842001-12-31
USD0.104212001-06-22
200018.50%USD 1.641USD1.314182000-12-12
USD0.1272000-09-22
USD0.109412000-06-23
USD0.090472000-03-23