TCW RELATIVE VALUE MID CAP FUND I CLASS(TGVOX) USD 23.88
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.48%USD 0.593USD0.59272022-12-28
202114.40%USD 3.439USD3.43932021-12-29
20200.72%USD 0.173USD0.17252020-12-29
20192.29%USD 0.547USD0.54712019-12-27
20187.38%USD 1.763USD1.76262018-12-27
20178.69%USD 2.076USD2.07562017-12-28
20160.54%USD 0.128USD0.1282016-12-29
201512.27%USD 2.93USD2.92952015-12-30
201413.38%USD 3.196USD3.19552014-12-30
201311.60%USD 2.769USD2.7692013-12-30
20120.75%USD 0.18USD0.17952012-12-28
20110.46%USD 0.11USD0.112011-12-29
20100.65%USD 0.155USD0.142010-12-29
USD0.0152010-04-06
20090.43%USD 0.103USD0.1032009-12-30
20080.61%USD 0.145USD0.1452008-12-19
200713.86%USD 3.309USD3.30882007-12-21
20069.32%USD 2.225USD2.2252006-12-22
20057.23%USD 1.726USD1.7262005-12-30
20041.24%USD 0.297USD0.29682004-12-17
20030.43%USD 0.103USD0.0482003-02-28
USD0.0552003-01-31
20020.77%USD 0.185USD0.0552002-11-29
USD0.0652002-05-31
USD0.0652002-04-30
20010.69%USD 0.165USD0.16462001-12-14
20000.26%USD 0.062USD0.0622000-12-05