TIAA-CREF REAL ESTATE SECURITIES FUND RETIREMENT CLASS(TRRSX) USD 17.17
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.64%USD 0.11USD0.109722023-03-17
20224.54%USD 0.779USD0.557572022-12-09
USD0.113152022-09-23
USD0.075292022-06-17
USD0.032972022-03-18
20213.95%USD 0.678USD0.47692021-12-10
USD0.064132021-09-17
USD0.075262021-06-18
USD0.061252021-03-19
20201.60%USD 0.275USD0.063972020-12-11
USD0.063232020-09-18
USD0.068792020-06-19
USD0.078742020-03-20
20196.15%USD 1.055USD0.889872019-12-06
USD0.067912019-09-20
USD0.052022019-06-12
USD0.04532019-03-22
20182.75%USD 0.471USD0.257412018-12-07
USD0.083572018-09-21
USD0.073752018-06-22
USD0.056682018-03-23
20176.76%USD 1.161USD1.032772017-12-08
USD0.05812017-09-22
USD0.049342017-06-23
USD0.02042017-03-24
20163.39%USD 0.582USD0.362442016-12-09
USD0.062922016-09-23
USD0.066082016-06-24
USD0.090332016-03-18
20155.30%USD 0.91USD0.751922015-12-11
USD0.06452015-09-25
USD0.049382015-06-26
USD0.044392015-03-27
20142.78%USD 0.477USD0.319152014-12-12
USD0.056562014-09-26
USD0.049962014-06-27
USD0.051212014-03-28
20132.41%USD 0.414USD0.263912013-12-13
USD0.054342013-09-20
USD0.046322013-06-21
USD0.049152013-03-22
20121.01%USD 0.174USD0.054542012-12-07
USD0.044852012-09-28
USD0.03712012-06-29
USD0.037782012-03-30
20110.69%USD 0.118USD0.04062011-12-09
USD0.037972011-09-23
USD0.01982011-06-24
USD0.020092011-03-25
20101.01%USD 0.174USD0.039362010-12-10
USD0.047452010-09-24
USD0.034122010-06-25
USD0.052612010-03-26
20091.00%USD 0.172USD0.044392009-12-11
USD0.058862009-09-25
USD0.037742009-06-26
USD0.031392009-03-27
20081.94%USD 0.333USD0.045022008-12-12
USD0.0672008-09-29
USD0.0872008-06-27
USD0.1342008-03-28
200713.01%USD 2.234USD1.8652007-12-14
USD0.072007-09-26
USD0.152007-06-27
USD0.1492007-03-28
20067.57%USD 1.3USD0.972006-12-22
USD0.1292006-09-27
USD0.1082006-06-28
USD0.0932006-03-29
20052.88%USD 0.495USD0.1632005-12-23
USD0.1252005-09-28
USD0.1442005-06-28
USD0.0632005-03-29
20042.68%USD 0.46USD0.1742004-12-29
USD0.0862004-09-28
USD0.1552004-06-28
USD0.0452004-03-29
20031.83%USD 0.314USD0.1392003-12-29
USD0.0792003-09-26
USD0.0632003-06-30
USD0.0332003-03-31