AB VALUE FUND CLASS A(ABVAX) USD 15.52
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202212.48%USD 1.937USD1.93742022-12-08
202111.39%USD 1.767USD1.7672021-12-09
20201.14%USD 0.177USD0.17692020-12-10
20192.12%USD 0.329USD0.3292019-12-12
20184.13%USD 0.642USD0.64172018-12-13
20171.05%USD 0.163USD0.16272017-12-14
20161.02%USD 0.159USD0.15852016-12-15
20151.10%USD 0.17USD0.17022015-12-17
20141.36%USD 0.211USD0.21092014-12-18
20130.85%USD 0.133USD0.13262013-12-20
20121.04%USD 0.161USD0.1612012-12-20
20110.81%USD 0.126USD0.1262011-12-22
20100.57%USD 0.089USD0.0892010-12-21
20090.86%USD 0.133USD0.1332009-12-22
20081.57%USD 0.243USD0.2432008-12-22
20077.79%USD 1.209USD1.2092007-12-21
20064.28%USD 0.665USD0.6652006-12-14
20055.77%USD 0.896USD0.8962005-12-16
20042.41%USD 0.375USD0.37452004-12-21
20030.64%USD 0.1USD0.12003-12-22
20020.42%USD 0.065USD0.0652002-12-23
20010.31%USD 0.048USD0.0482001-12-14