PIMCO US Dollar Short Maturity Source UCITS(MINT) EUR 90.69
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.04%EUR 0.939EUR0.316752023-03-16
EUR0.292452023-02-16
EUR0.330032023-01-19
20221.60%EUR 1.447EUR0.235562022-12-15
EUR0.198182022-11-17
EUR0.236522022-10-20
EUR0.160552022-09-15
EUR0.126872022-08-18
EUR0.137592022-07-21
EUR0.0872022-06-16
EUR0.073962022-05-19
EUR0.073792022-04-21
EUR0.051452022-03-17
EUR0.033982022-02-17
EUR0.031972022-01-20
20210.32%EUR 0.294EUR0.023992021-12-16
EUR0.023762021-11-18
EUR0.028892021-10-21
EUR0.019832021-09-16
EUR0.020272021-08-19
EUR0.020522021-07-15
EUR0.019112021-06-17
EUR0.02872021-05-20
EUR0.023612021-04-15
EUR0.026452021-03-18
EUR0.025642021-02-18
EUR0.033192021-01-21
20201.18%EUR 1.072EUR0.030252020-12-17
EUR0.040612020-11-19
EUR0.037022020-10-15
EUR0.037072020-09-17
EUR0.053022020-08-20
EUR0.055012020-07-16
EUR0.105152020-06-18
EUR0.117472020-05-14
EUR0.116322020-04-16
EUR0.184222020-03-19
EUR0.1472020-02-13
EUR0.148552020-01-16
20192.63%EUR 2.386EUR0.198952019-12-19
EUR0.160882019-11-15
EUR0.174112019-10-17
EUR0.223042019-09-19
EUR0.184032019-08-15
EUR0.23962019-07-18
EUR0.191062019-06-13
EUR0.193042019-05-16
EUR0.244822019-04-18
EUR0.20162019-03-14
EUR0.188512019-02-14
EUR0.186762019-01-17
20182.20%EUR 1.997EUR0.23042018-12-20
EUR0.175792018-11-15
EUR0.214932018-10-18
EUR0.163882018-09-13
EUR0.165412018-08-16
EUR0.205722018-07-19
EUR0.160042018-06-14
EUR0.14752018-05-17
EUR0.158762018-04-19
EUR0.125862018-03-15
EUR0.111192018-02-15
EUR0.137672018-01-18
20171.55%EUR 1.404EUR0.113462017-12-14
EUR0.108442017-11-16
EUR0.134792017-10-19
EUR0.10662017-09-14
EUR0.105922017-08-17
EUR0.134342017-07-20
EUR0.104442017-06-15
EUR0.137272017-05-18
EUR0.112432017-04-13
EUR0.108992017-03-16
EUR0.103712017-02-16
EUR0.13352017-01-19
20161.33%EUR 1.208EUR0.130162016-12-15
EUR0.109252016-11-17
EUR0.117412016-10-20
EUR0.086652016-09-15
EUR0.115552016-08-18
EUR0.089952016-07-14
EUR0.089842016-06-16
EUR0.106572016-05-19
EUR0.084692016-04-14
EUR0.083172016-03-17
EUR0.119642016-02-18
EUR0.07512016-01-14
20150.79%EUR 0.721EUR0.065942015-12-17
EUR0.112112015-11-19
EUR0.055032015-10-15
EUR0.056442015-09-17
EUR0.068392015-08-20
EUR0.055222015-07-16
EUR0.061132015-06-18
EUR0.046352015-05-14
EUR0.051112015-04-16
EUR0.050342015-03-19
EUR0.056432015-02-19
EUR0.042422015-01-15
20140.04%EUR 0.039EUR0.039122014-12-18