WILMINGTON INTERNATIONAL FUND CLASS A SHARES(WINAX) USD 8.42
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.54%USD 0.298USD0.008782022-12-16
USD0.168612022-12-12
USD0.016452022-09-16
USD0.103852022-06-17
20214.55%USD 0.383USD0.028132021-12-17
USD0.220092021-12-10
USD0.013042021-09-17
USD0.12222021-06-18
20201.61%USD 0.135USD0.062752020-12-18
USD0.00692020-09-18
USD0.06562020-06-19
20191.80%USD 0.152USD0.00982019-12-20
USD0.03022019-09-20
USD0.09342019-06-20
USD0.01832019-03-20
20182.28%USD 0.192USD0.0032018-12-20
USD0.0752018-12-10
USD0.02252018-09-20
USD0.09172018-06-20
20171.09%USD 0.092USD0.01792017-12-20
USD0.01752017-09-20
USD0.056672017-06-20
20161.37%USD 0.116USD0.015022016-12-20
USD0.011072016-09-20
USD0.067592016-06-20
USD0.0222016-03-22
20151.18%USD 0.099USD0.049352015-09-21
USD0.044142015-06-22
USD0.005652015-03-20
20141.51%USD 0.127USD0.114332014-06-20
USD0.012852014-03-20
20131.38%USD 0.116USD0.057212013-09-20
USD0.051742013-06-20
USD0.006972013-03-20
20121.27%USD 0.107USD0.01252012-09-20
USD0.094772012-06-20
20111.37%USD 0.115USD0.1152011-12-20
20100.94%USD 0.079USD0.0792010-12-20
20091.37%USD 0.115USD0.0122009-12-18
USD0.0132009-09-15
USD0.0472009-06-11
USD0.0432009-03-16
20081.28%USD 0.108USD0.0122008-09-16
USD0.0962008-06-17
20072.73%USD 0.23USD0.0992007-12-20
USD0.0522007-09-14
USD0.0792007-06-14
20061.48%USD 0.125USD0.0372006-09-14
USD0.0882006-06-15
20030.96%USD 0.081USD0.042003-02-28
USD0.0412003-01-31
20022.80%USD 0.236USD0.112002-12-20
USD0.042002-11-29
USD0.0432002-05-31
USD0.0432002-04-30
20011.90%USD 0.16USD0.162001-12-20