AB INTERNATIONAL VALUE FUND ADVISOR CLASS(ABIYX) USD 14.55
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.24%USD 0.18USD0.17972022-12-08
20212.81%USD 0.409USD0.40872021-12-09
20200.86%USD 0.125USD0.12532020-12-10
20191.20%USD 0.175USD0.17522019-12-12
20180.42%USD 0.061USD0.06072018-12-13
20172.11%USD 0.307USD0.30742017-12-14
20160.29%USD 0.042USD0.04232016-12-15
20151.46%USD 0.212USD0.21222015-12-17
20143.07%USD 0.446USD0.44612014-12-18
20134.66%USD 0.678USD0.67792013-12-20
20122.73%USD 0.397USD0.3972012-12-20
20113.66%USD 0.532USD0.5322011-12-22
20103.76%USD 0.547USD0.5032010-12-21
USD0.0442010-04-27
20091.48%USD 0.215USD0.2152009-12-22
20079.99%USD 1.453USD1.4532007-12-21
200610.95%USD 1.593USD1.5932006-12-14
20058.76%USD 1.275USD1.2752005-12-16
20043.89%USD 0.566USD0.56552004-12-21
20031.07%USD 0.155USD0.1552003-12-22
20020.77%USD 0.112USD0.1122002-12-23