INVESCO GROWTH AND INCOME FUND CLASS R(ACGLX) USD 20.75
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.37%USD 0.076USD0.07642023-03-23
202211.69%USD 2.425USD2.222022-12-14
USD0.08432022-09-22
USD0.06312022-06-23
USD0.05742022-03-24
202124.14%USD 5.009USD4.84962021-12-14
USD0.05232021-09-23
USD0.05242021-06-24
USD0.05432021-03-25
20204.11%USD 0.853USD0.58062020-12-11
USD0.09132020-09-17
USD0.09222020-06-18
USD0.08922020-03-19
20199.60%USD 1.992USD1.73062019-12-13
USD0.0872019-09-19
USD0.08742019-06-20
USD0.08682019-03-21
201814.19%USD 2.945USD2.70842018-12-14
USD0.08412018-09-13
USD0.08462018-06-21
USD0.06812018-03-22
201714.42%USD 2.993USD2.78932017-12-13
USD0.06782017-09-14
USD0.06812017-06-15
USD0.06782017-03-16
20168.73%USD 1.813USD1.60212016-12-13
USD0.06922016-09-15
USD0.06992016-06-16
USD0.07132016-03-17
20151.58%USD 0.329USD0.1582015-12-11
USD0.06762015-09-17
USD0.05142015-06-18
USD0.05182015-03-19
201414.70%USD 3.051USD2.89882014-12-12
USD0.04992014-09-18
USD0.05072014-06-19
USD0.05112014-03-20
20134.27%USD 0.885USD0.72642013-12-13
USD0.05212013-09-19
USD0.0532013-06-20
USD0.05382013-03-21
20121.34%USD 0.278USD0.12172012-12-07
USD0.05552012-09-20
USD0.05092012-06-14
USD0.05022012-03-15
20110.97%USD 0.201USD0.07032011-12-09
USD0.04822011-09-15
USD0.0472011-06-16
USD0.03562011-03-17
20100.86%USD 0.179USD0.03692010-12-03
USD0.03742010-09-16
USD0.04092010-06-09
USD0.0642010-03-10
20091.17%USD 0.243USD0.0412009-12-09
USD0.0322009-09-09
USD0.0562009-06-30
USD0.0562009-06-10
USD0.0582009-03-11
20081.44%USD 0.298USD0.0672008-12-10
USD0.0632008-09-10
USD0.082008-06-11
USD0.0882008-03-12
20071.68%USD 0.348USD0.0852007-12-11
USD0.0962007-09-12
USD0.0952007-06-13
USD0.0722007-03-14
20061.33%USD 0.277USD0.0712006-12-13
USD0.0722006-09-13
USD0.0672006-06-14
USD0.0672006-03-15
20051.01%USD 0.21USD0.0552005-12-14
USD0.0552005-09-14
USD0.0552005-06-15
USD0.0452005-03-16
20040.88%USD 0.183USD0.0452004-12-08
USD0.0462004-09-15
USD0.0462004-06-16
USD0.0462004-03-17
20030.62%USD 0.128USD0.0332003-12-10
USD0.0332003-09-17
USD0.0332003-06-18
USD0.0292003-03-19