EQUITY INCOME FUND C CLASS(AEYIX) USD 8.9
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.23%USD 0.021USD0.02082023-03-21
20227.59%USD 0.675USD0.60412022-12-21
USD0.02242022-09-20
USD0.03752022-06-21
USD0.01132022-03-22
20216.45%USD 0.574USD0.51282021-12-21
USD0.01442021-09-21
USD0.04032021-06-22
USD0.00682021-03-23
20201.10%USD 0.098USD0.02492020-12-22
USD0.02352020-09-22
USD0.04232020-06-16
USD0.0072020-03-10
20196.53%USD 0.581USD0.50322019-12-20
USD0.01832019-09-17
USD0.0412019-06-18
USD0.01892019-03-19
20186.26%USD 0.557USD0.02822018-12-20
USD0.47052018-12-11
USD0.01872018-09-18
USD0.0292018-06-19
USD0.01032018-03-20
201710.92%USD 0.972USD0.02492017-12-26
USD0.89822017-12-12
USD0.01422017-09-19
USD0.02882017-06-20
USD0.00552017-03-21
20166.82%USD 0.607USD0.02992016-12-27
USD0.52232016-12-13
USD0.01582016-09-20
USD0.0282016-06-21
USD0.01062016-03-15
20158.44%USD 0.751USD0.04242015-12-28
USD0.63162015-12-08
USD0.03462015-09-08
USD0.03082015-06-09
USD0.01182015-03-10
20148.87%USD 0.789USD0.03822014-12-23
USD0.6622014-12-09
USD0.02652014-09-09
USD0.05092014-06-10
USD0.01152014-03-11
20137.49%USD 0.667USD0.03862013-12-23
USD0.54892013-12-06
USD0.02822013-09-10
USD0.03082013-06-11
USD0.02042013-03-12
20122.29%USD 0.203USD0.03572012-12-26
USD0.08212012-12-07
USD0.03432012-09-18
USD0.04322012-06-12
USD0.00812012-03-13
20111.34%USD 0.12USD0.04382011-12-27
USD0.03322011-09-20
USD0.0322011-06-14
USD0.01062011-03-22
20101.57%USD 0.14USD0.04642010-12-28
USD0.04622010-09-21
USD0.03342010-06-15
USD0.01362010-03-23
20091.31%USD 0.116USD0.03432009-12-29
USD0.02462009-09-15
USD0.02832009-06-16
USD0.0292009-03-17
20081.88%USD 0.167USD0.01482008-12-31
USD0.04722008-12-29
USD0.03312008-09-16
USD0.04322008-06-17
USD0.02882008-03-18
20079.61%USD 0.855USD0.06112007-12-28
USD0.72922007-12-11
USD0.02792007-09-11
USD0.03292007-06-12
USD0.0042007-03-13
20067.40%USD 0.659USD0.05432006-12-27
USD0.54712006-12-12
USD0.02052006-09-12
USD0.012006-06-13
USD0.02662006-03-14
20054.58%USD 0.408USD0.03072005-12-28
USD0.32212005-12-06
USD0.02792005-09-13
USD0.01312005-06-14
USD0.01412005-03-15
20046.03%USD 0.537USD0.01542004-12-28
USD0.42082004-12-07
USD0.02712004-09-14
USD0.04862004-06-15
USD0.02472004-03-16
20032.34%USD 0.209USD0.04822003-12-31
USD0.11512003-12-09
USD0.02472003-09-16
USD0.02062003-06-17