DEUTSCHE ENHANCED EMERGING MARKETS FIXED INCOME FUND CLASS S(SCEMX) USD 6.56
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.68%USD 0.11USD0.112023-03-24
20226.71%USD 0.44USD0.112022-12-08
USD0.112022-09-23
USD0.112022-06-23
USD0.112022-03-24
20216.55%USD 0.43USD0.1152021-12-08
USD0.112021-09-23
USD0.1052021-06-23
USD0.12021-03-24
20206.37%USD 0.418USD0.112020-12-08
USD0.112020-09-23
USD0.09052020-06-23
USD0.10752020-03-24
20195.93%USD 0.389USD0.0992019-12-09
USD0.0952019-09-23
USD0.092019-06-21
USD0.1052019-03-22
20185.60%USD 0.368USD0.0952018-12-10
USD0.08252018-09-21
USD0.082018-06-22
USD0.112018-03-22
20175.56%USD 0.365USD0.112017-12-08
USD0.0952017-09-22
USD0.082017-06-23
USD0.082017-03-24
20166.86%USD 0.45USD0.112016-12-08
USD0.112016-09-23
USD0.1152016-06-23
USD0.1152016-03-23
20156.82%USD 0.448USD0.1122015-12-08
USD0.1122015-09-23
USD0.11182015-06-23
USD0.11182015-03-24
20146.24%USD 0.41USD0.11132014-12-09
USD0.10622014-09-23
USD0.09592014-06-23
USD0.09612014-03-24
20135.86%USD 0.384USD0.09122013-12-09
USD0.09132013-09-23
USD0.0962013-06-21
USD0.10572013-03-21
20126.55%USD 0.43USD0.0952012-12-10
USD0.0952012-09-21
USD0.112012-06-22
USD0.132012-03-23
20117.50%USD 0.492USD0.1252011-12-08
USD0.1272011-09-23
USD0.122011-06-23
USD0.122011-03-24
20108.08%USD 0.53USD0.12982010-12-08
USD0.132010-09-23
USD0.132010-06-23
USD0.142010-03-24
200910.99%USD 0.721USD0.18072009-12-09
USD0.182009-09-23
USD0.182009-06-23
USD0.182009-03-24
200814.91%USD 0.978USD0.46822008-12-10
USD0.172008-09-23
USD0.172008-06-23
USD0.172008-03-24
200710.37%USD 0.68USD0.172007-12-10
USD0.172007-09-21
USD0.172007-06-22
USD0.172007-03-23
200611.09%USD 0.728USD0.30782006-12-11
USD0.152006-09-22
USD0.142006-06-23
USD0.132006-03-24
200510.55%USD 0.692USD0.3022005-12-14
USD0.132005-09-23
USD0.132005-06-23
USD0.132005-03-24
20047.93%USD 0.52USD0.132004-12-14
USD0.132004-09-23
USD0.132004-06-23
USD0.132004-03-24
20038.69%USD 0.57USD0.132003-12-15
USD0.152003-09-23
USD0.142003-06-23
USD0.152003-03-24
200210.14%USD 0.665USD0.162002-12-13
USD0.1452002-09-23
USD0.172002-06-21
USD0.192002-03-21
200112.58%USD 0.825USD0.2052001-12-17
USD0.212001-09-21
USD0.22001-06-22
USD0.212001-03-28
200013.03%USD 0.855USD0.3252000-12-18
USD0.182000-09-27
USD0.1752000-06-28
USD0.1752000-03-29