INVESCO COMSTOCK FUND CLASS C(ACSYX) USD 26.92
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.26%USD 0.069USD0.06892023-03-23
202211.95%USD 3.218USD3.01462022-12-14
USD0.07952022-09-22
USD0.07532022-06-23
USD0.04812022-03-24
20218.72%USD 2.348USD2.19372021-12-14
USD0.04842021-09-23
USD0.04832021-06-24
USD0.05772021-03-25
20201.26%USD 0.339USD0.12622020-12-11
USD0.07962020-09-17
USD0.06982020-06-18
USD0.06352020-03-19
20196.25%USD 1.682USD1.48092019-12-13
USD0.08182019-09-19
USD0.06592019-06-20
USD0.0532019-03-21
20187.28%USD 1.959USD1.84732018-12-14
USD0.04572018-09-13
USD0.03272018-06-21
USD0.03362018-03-22
20172.91%USD 0.784USD0.62132017-12-13
USD0.05352017-09-14
USD0.05472017-06-15
USD0.05412017-03-16
20166.26%USD 1.686USD1.50472016-12-13
USD0.0582016-09-15
USD0.05972016-06-16
USD0.06382016-03-17
20150.57%USD 0.153USD0.0552015-12-11
USD0.03672015-09-17
USD0.03032015-06-18
USD0.03092015-03-19
20140.81%USD 0.218USD0.13722014-12-12
USD0.03142014-09-18
USD0.02372014-06-19
USD0.02532014-03-20
20130.45%USD 0.121USD0.02782013-12-13
USD0.02892013-09-19
USD0.03052013-06-20
USD0.03352013-03-21
20120.51%USD 0.136USD0.03722012-12-07
USD0.03382012-09-20
USD0.03662012-06-14
USD0.02862012-03-15
20110.35%USD 0.094USD0.02422011-12-09
USD0.02532011-09-15
USD0.02252011-06-16
USD0.02192011-03-17
20100.45%USD 0.121USD0.02442010-12-03
USD0.0282010-09-16
USD0.02672010-06-09
USD0.0162010-04-16
USD0.0262010-03-10
20090.46%USD 0.123USD0.0062009-12-09
USD0.0082009-09-09
USD0.0312009-06-30
USD0.0312009-06-10
USD0.0472009-03-11
20080.77%USD 0.208USD0.0542008-12-10
USD0.0442008-09-10
USD0.052008-06-11
USD0.062008-03-12
20070.81%USD 0.219USD0.0542007-12-11
USD0.0532007-09-12
USD0.0512007-06-13
USD0.0612007-03-14
20060.91%USD 0.244USD0.0612006-12-13
USD0.0612006-09-13
USD0.0612006-06-14
USD0.0612006-03-15
20050.87%USD 0.233USD0.0512005-12-14
USD0.0482005-09-14
USD0.0482005-06-30
USD0.0482005-06-15
USD0.0382005-03-16
20040.35%USD 0.095USD0.0242004-12-08
USD0.0272004-09-15
USD0.0272004-06-16
USD0.0172004-03-17
20030.30%USD 0.082USD0.0212003-12-10
USD0.0212003-09-17
USD0.0212003-06-18
USD0.0192003-03-19
20020.19%USD 0.052USD0.0192002-12-11
USD0.0112002-09-18
USD0.0112002-06-19
USD0.0112002-03-20
20010.38%USD 0.102USD0.0152001-12-12
USD0.0212001-09-19
USD0.0332001-06-20
USD0.0332001-03-21
20000.71%USD 0.192USD0.0932000-12-13
USD0.0332000-09-20
USD0.0332000-06-21
USD0.0332000-03-22