AB VALUE FUND ADVISOR CLASS(ABVYX) USD 15.54
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202212.75%USD 1.981USD1.98072022-12-08
202111.67%USD 1.813USD1.8132021-12-09
20201.36%USD 0.212USD0.21162020-12-10
20192.34%USD 0.364USD0.36382019-12-12
20184.39%USD 0.682USD0.68222018-12-13
20171.27%USD 0.197USD0.19682017-12-14
20161.25%USD 0.195USD0.19482016-12-15
20151.39%USD 0.215USD0.21542015-12-17
20141.63%USD 0.254USD0.25382014-12-18
20131.10%USD 0.17USD0.17042013-12-20
20121.24%USD 0.192USD0.1922012-12-20
20111.01%USD 0.157USD0.1572011-12-22
20100.92%USD 0.143USD0.1182010-12-21
USD0.0252010-04-30
20091.02%USD 0.158USD0.1582009-12-22
20081.85%USD 0.287USD0.2872008-12-22
20078.05%USD 1.251USD1.2512007-12-21
20064.51%USD 0.701USD0.7012006-12-14
20056.00%USD 0.932USD0.9322005-12-16
20042.60%USD 0.405USD0.40452004-12-21
20030.84%USD 0.13USD0.132003-12-22
20020.58%USD 0.09USD0.092002-12-23