AB EMERGING MARKETS MULTI-ASSET PORTFOLIO CLASS I(ABIEX) USD 7.64
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.26%USD 0.02USD0.022023-03-08
20223.60%USD 0.275USD0.04722022-12-07
USD0.12212022-09-07
USD0.07092022-06-08
USD0.03462022-03-09
20214.54%USD 0.347USD0.13182021-12-08
USD0.12052021-09-08
USD0.06042021-06-09
USD0.03432021-03-10
20203.08%USD 0.235USD0.08472020-12-09
USD0.07252020-09-09
USD0.03852020-06-10
USD0.03942020-03-11
20196.26%USD 0.478USD0.26422019-12-11
USD0.10222019-09-11
USD0.07852019-06-12
USD0.03332019-03-13
20186.31%USD 0.482USD0.26592018-12-12
USD0.13052018-09-12
USD0.05782018-06-13
USD0.02792018-03-14
20174.91%USD 0.375USD0.17462017-12-13
USD0.11022017-09-13
USD0.0552017-06-14
USD0.03552017-03-15
20165.16%USD 0.394USD0.21742016-12-14
USD0.07892016-09-14
USD0.0732016-06-15
USD0.02462016-03-16
20154.28%USD 0.327USD0.10092015-12-16
USD0.11722015-09-16
USD0.08612015-06-17
USD0.02312015-03-18
20145.29%USD 0.404USD0.34562014-12-17
USD0.05872014-06-18
20132.62%USD 0.2USD0.15372013-12-18
USD0.04632013-08-27
20122.54%USD 0.194USD0.19442012-12-13
20110.17%USD 0.013USD0.01312011-12-21