Victory US 500 Enhanced Volatility Wtd Index Fund (CUHAX) Dividends

The forward dividend yield for CUHAX as of June 30, 2026 is 0.73%. Average dividend growth rate for stock Victory US 500 Enhanced Volatility Wtd Index Fund (CUHAX) for past three years is 2.94%.

Dividend history for stock CUHAX (Victory US 500 Enhanced Volatility Wtd Index Fund) including historic stock price, dividend growth rate predictions based on history and split, spin-off and special dividends.

Victory US 500 Enhanced Volatility Wtd Index Fund Dividends

Ex-dividend datePayable dateDividend amount (change) Adjusted PriceClose Price
2025-03-17 0.0190 USD (46.15%) 10.69 USD 10.69 USD
2024-12-18 0.0130 USD (-35%) 10.87 USD 10.87 USD
2024-09-23 2024-09-24 0.0200 USD (5.26%) 10.94 USD 10.94 USD
2024-06-24 2024-06-25 0.0190 USD (-64.81%) 10.14 USD 10.14 USD
2024-03-25 2024-03-26 0.0540 USD (350%) 10.42 USD 10.42 USD
2023-12-21 2023-12-22 0.0120 USD (-61.29%) 9.23 USD 9.23 USD
2023-09-18 2023-09-19 0.0310 USD (10.71%) 9.31 USD 9.31 USD
2023-06-21 2023-06-22 0.0280 USD (-61.11%) 9.66 USD 9.66 USD
2023-03-21 2023-03-22 0.0720 USD (380%) 9.53 USD 9.56 USD
2022-12-21 2022-12-22 0.0150 USD (-99.58%) 10.11 USD 10.22 USD
2022-12-14 2022-12-15 3.5892 USD (16214.55%) 10.09 USD 10.17 USD
2022-09-19 2022-09-20 0.0220 USD (-31.25%) 10.00 USD 13.56 USD
2022-03-22 2022-03-23 0.0320 USD (23.08%) 11.27 USD 15.31 USD
2021-12-22 2021-12-23 0.0260 USD (-98.69%) 11.56 USD 15.74 USD
2021-12-16 2021-12-17 1.9798 USD (7514.62%) 11.87 USD 16.11 USD
2021-09-20 2021-09-21 0.0260 USD (420%) 10.91 USD 16.75 USD
2021-06-22 2021-06-23 0.0050 USD (-73.68%) 10.69 USD 16.43 USD
2021-03-22 2021-03-23 0.0190 USD (171.43%) 10.04 USD 15.44 USD
2020-12-22 2020-12-23 0.0070 USD (-99.56%) 9.32 USD 14.35 USD
2020-12-16 2020-12-17 1.5920 USD (10513.33%) 9.47 USD 14.54 USD
2020-09-23 2020-09-24 0.0150 USD (-66.67%) 7.94 USD 13.59 USD
2020-03-25 2020-03-26 0.0450 USD (-97.40%) 6.99 USD 11.98 USD
2019-12-17 2019-12-18 1.7294 USD (6076.43%) 7.96 USD 13.65 USD
2019-09-25 2019-09-26 0.0280 USD (-3.45%) 7.44 USD 14.42 USD
2019-06-25 2019-06-26 0.0290 USD (-48.21%) 7.25 USD 14.08 USD
2019-03-26 2019-03-27 0.0560 USD (366.67%) 6.93 USD 13.50 USD
2018-12-26 2018-12-27 0.0120 USD (-99.36%) 6.47 USD 12.64 USD
2018-12-19 2018-12-20 1.8874 USD (7159.23%) 6.59 USD 12.84 USD
2018-09-25 0.0260 USD 7.77 USD 17.40 USD
2018-06-26 2018-06-27 0.0260 USD (4%) 7.40 USD 16.60 USD
2018-03-26 2018-03-27 0.0250 USD (-28.57%) 7.27 USD 16.34 USD
2017-12-26 2017-12-27 0.0350 USD (-97.61%) 7.26 USD 16.33 USD
2017-12-20 2017-12-21 1.4648 USD (7224%) 7.27 USD 16.31 USD
2017-09-07 2017-09-08 0.0200 USD (-42.86%) 6.55 USD 16.10 USD
2017-06-13 2017-06-14 0.0350 USD (25%) 6.56 USD 16.14 USD
2017-03-07 2017-03-08 0.0280 USD 6.30 USD 15.54 USD
2016-12-13 2016-12-14 0.0280 USD (86.67%) 6.05 USD 14.95 USD
2016-09-07 2016-09-08 0.0150 USD (-62.50%) 5.76 USD 14.48 USD
2016-06-14 2016-06-15 0.0400 USD (42.86%) 5.43 USD 13.67 USD
2016-03-08 2016-03-09 0.0280 USD (3.70%) 5.17 USD 13.04 USD
2015-12-29 2015-12-30 0.0270 USD (12.50%) 5.33 USD 13.48 USD
2015-09-29 0.0240 USD (84.62%) 4.94 USD 13.01 USD
2015-06-29 0.0130 USD (18.18%) 5.35 USD 14.11 USD
2015-03-30 0.0110 USD (-15.38%) 5.45 USD 14.37 USD
2014-12-16 0.0130 USD (900%) 5.08 USD 13.41 USD
2014-06-27 0.0013 USD (-79.69%) 5.30 USD 14.16 USD
2014-03-28 0.0064 USD (-94.36%) 5.09 USD 13.62 USD
2013-12-16 0.1135 USD (1094.74%) 4.99 USD 13.36 USD
2013-09-27 0.0095 USD (106.52%) 4.59 USD 12.40 USD
2013-06-27 0.0046 USD (-16.36%) 4.34 USD 11.71 USD
2013-03-27 0.0055 USD 4.27 USD 11.53 USD

CUHAX

Price: $10.47

52 week price:
9.59
11.64

Forward Dividend Yield: 0.73%

Dividend Per Share: 0.08 USD

Earnings Per Share: 0.51 USD

P/E Ratio: 20.65

Exchange: NAS

Sector: Financial Services

Industry: Asset Management

Market Capitalization: 24.2 million

Average Dividend Frequency: 4

Years Paying Dividends: 13

DGR3: 2.94%

DGR5: -2.15%

DGR10: 30.00%

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