SAAT AGGRESSIVE STRATEGY FUND SAAT AGGRESSIVE STRATEGY FUND - CLASS F EFFECTIVE 1-31-2017 (FORMERLY CLASS A)(SSGAX) USD 12.62
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.23%USD 0.029USD0.02872023-04-05
202217.82%USD 2.25USD0.41362022-12-29
USD1.78482022-12-16
USD0.02192022-10-06
USD0.01512022-07-07
USD0.01412022-04-06
202111.81%USD 1.491USD0.89762021-12-30
USD0.53762021-12-16
USD0.01482021-10-05
USD0.02082021-07-07
USD0.01982021-04-06
20205.25%USD 0.662USD0.2212020-12-30
USD0.38712020-12-11
USD0.01612020-10-06
USD0.01612020-07-07
USD0.02182020-04-07
20196.87%USD 0.867USD0.36452019-12-30
USD0.42632019-12-13
USD0.02272019-10-08
USD0.02982019-07-09
USD0.02332019-04-09
20182.79%USD 0.353USD0.28372018-12-28
USD0.02182018-10-04
USD0.02152018-07-09
USD0.02572018-04-06
20172.02%USD 0.255USD0.20232017-12-28
USD0.0242017-10-05
USD0.01652017-07-07
USD0.01192017-04-07
20162.19%USD 0.277USD0.23352016-12-29
USD0.01392016-10-06
USD0.01332016-07-07
USD0.01612016-04-07
20152.15%USD 0.271USD0.15632015-12-30
USD0.07822015-10-05
USD0.01982015-07-08
USD0.01652015-04-02
20143.11%USD 0.393USD0.32372014-12-30
USD0.02552014-10-03
USD0.03172014-07-03
USD0.01162014-03-28
20131.69%USD 0.214USD0.16492013-12-30
USD0.02672013-07-03
USD0.0222013-03-27
20122.24%USD 0.283USD0.18972012-12-28
USD0.01792012-10-03
USD0.03792012-07-05
USD0.03712012-03-29
20112.27%USD 0.286USD0.17712011-12-29
USD0.03842011-10-05
USD0.0442011-07-06
USD0.02642011-03-30
20103.61%USD 0.456USD0.28312010-12-30
USD0.03452010-10-05
USD0.05162010-07-06
USD0.0442010-04-22
USD0.04232010-03-30
20091.66%USD 0.21USD0.07462009-12-30
USD0.0342009-10-05
USD0.03472009-07-06
USD0.06682009-03-30
20085.38%USD 0.679USD0.08992008-12-30
USD0.39752008-12-05
USD0.05862008-10-03
USD0.06412008-07-03
USD0.06912008-03-28
20076.76%USD 0.853USD0.43712007-12-28
USD0.22472007-12-06
USD0.06442007-10-03
USD0.06642007-07-03
USD0.06032007-03-29
20065.80%USD 0.732USD0.23442006-12-28
USD0.3322006-12-07
USD0.05532006-10-03
USD0.05542006-07-05
USD0.05452006-03-29
20051.48%USD 0.187USD0.12782005-12-28
USD0.0592005-12-08