EQUITY INCOME FUND I CLASS(ACIIX) USD 8.92
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.49%USD 0.043USD0.04332023-03-21
20228.81%USD 0.786USD0.63532022-12-21
USD0.04972022-09-20
USD0.06382022-06-21
USD0.03742022-03-22
20217.76%USD 0.692USD0.54642021-12-21
USD0.04382021-09-21
USD0.06982021-06-22
USD0.03192021-03-23
20202.21%USD 0.197USD0.05432020-12-22
USD0.04982020-09-22
USD0.06812020-06-16
USD0.02472020-03-10
20197.75%USD 0.692USD0.53652019-12-20
USD0.04592019-09-17
USD0.06782019-06-18
USD0.04142019-03-19
20187.41%USD 0.661USD0.05542018-12-20
USD0.47052018-12-11
USD0.04612018-09-18
USD0.05552018-06-19
USD0.03312018-03-20
201712.14%USD 1.083USD0.05532017-12-26
USD0.89822017-12-12
USD0.04272017-09-19
USD0.05692017-06-20
USD0.02972017-03-21
20167.98%USD 0.712USD0.05982016-12-27
USD0.52232016-12-13
USD0.04262016-09-20
USD0.05632016-06-21
USD0.0312016-03-15
20159.55%USD 0.852USD0.07272015-12-28
USD0.63162015-12-08
USD0.05892015-09-08
USD0.05672015-06-09
USD0.03162015-03-10
201410.06%USD 0.898USD0.07122014-12-23
USD0.6622014-12-09
USD0.05432014-09-09
USD0.07842014-06-10
USD0.03162014-03-11
20138.63%USD 0.77USD0.072013-12-23
USD0.54892013-12-06
USD0.05422013-09-10
USD0.05712013-06-11
USD0.03982013-03-12
20123.31%USD 0.295USD0.06142012-12-26
USD0.08212012-12-07
USD0.06032012-09-18
USD0.06532012-06-12
USD0.02632012-03-13
20112.33%USD 0.208USD0.06852011-12-27
USD0.05552011-09-20
USD0.05392011-06-14
USD0.03022011-03-22
20102.49%USD 0.222USD0.07062010-12-28
USD0.06832010-09-21
USD0.05142010-06-15
USD0.03192010-03-23
20092.12%USD 0.189USD0.05782009-12-29
USD0.04342009-09-15
USD0.04572009-06-16
USD0.04212009-03-17
20082.80%USD 0.25USD0.01522008-12-31
USD0.06762008-12-29
USD0.05392008-09-16
USD0.06512008-06-17
USD0.04782008-03-18
200710.73%USD 0.957USD0.08922007-12-28
USD0.72912007-12-11
USD0.0542007-09-11
USD0.05962007-06-12
USD0.02532007-03-13
20068.50%USD 0.759USD0.08432006-12-27
USD0.54712006-12-12
USD0.04592006-09-12
USD0.03392006-06-13
USD0.04732006-03-14
20055.66%USD 0.505USD0.05822005-12-28
USD0.32212005-12-06
USD0.05252005-09-13
USD0.03712005-06-14
USD0.03492005-03-15
20047.08%USD 0.631USD0.0432004-12-28
USD0.42072004-12-07
USD0.05152004-09-14
USD0.0722004-06-15
USD0.04422004-03-16
20033.62%USD 0.323USD0.07552003-12-31
USD0.11512003-12-09
USD0.04642003-09-16
USD0.04272003-06-17
USD0.0432003-03-18
20023.02%USD 0.27USD0.04212002-12-31
USD0.09562002-12-06
USD0.04442002-09-30
USD0.04662002-06-28
USD0.04082002-03-28
20011.39%USD 0.124USD0.07352001-12-07
USD0.05022001-09-28