AB TAX-MANAGED ALL MARKET INCOME PORTFOLIO CLASS A(AGIAX) USD 10.18
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
2023100.00%USD 10.18USD10.182023-02-03
20222.22%USD 0.226USD0.01892022-12-20
USD0.01822022-11-18
USD0.01942022-10-20
USD0.01992022-09-20
USD0.02132022-08-19
USD0.02012022-07-20
USD0.01522022-06-17
USD0.01612022-05-20
USD0.0172022-04-20
USD0.01812022-03-18
USD0.02052022-02-18
USD0.02122022-01-20
20215.17%USD 0.527USD0.21562021-12-17
USD0.02782021-11-19
USD0.02662021-10-20
USD0.02682021-09-20
USD0.02862021-08-19
USD0.02662021-07-20
USD0.02852021-06-17
USD0.03112021-05-19
USD0.03012021-04-20
USD0.02662021-03-18
USD0.02932021-02-19
USD0.02912021-01-20
20203.71%USD 0.378USD0.072020-12-18
USD0.02842020-11-20
USD0.02662020-10-21
USD0.02572020-09-21
USD0.02652020-08-20
USD0.02892020-07-21
USD0.02872020-06-18
USD0.02632020-05-20
USD0.02632020-04-21
USD0.02272020-03-19
USD0.03552020-02-21
USD0.03242020-01-22
20196.02%USD 0.613USD0.27112019-12-20
USD0.0332019-11-20
USD0.03172019-10-18
USD0.03272019-09-20
USD0.03252019-08-20
USD0.02942019-07-19
USD0.03432019-06-20
USD0.03072019-05-20
USD0.03142019-04-18
USD0.02812019-03-20
USD0.02972019-02-20
USD0.02792019-01-18
20187.61%USD 0.775USD0.42952018-12-20
USD0.03142018-11-20
USD0.03032018-10-19
USD0.03222018-09-20
USD0.03132018-08-20
USD0.03242018-07-20
USD0.03192018-06-20
USD0.02982018-05-18
USD0.03282018-04-20
USD0.02862018-03-20
USD0.0322018-02-20
USD0.0332018-01-19
201713.19%USD 1.343USD1.34322017-12-18
20162.52%USD 0.256USD0.25622016-12-12
20156.47%USD 0.659USD0.6592015-12-10
20146.64%USD 0.676USD0.50612014-12-11
USD0.16992014-03-13
20131.56%USD 0.158USD0.05572013-12-12
USD0.03052013-09-11
USD0.0452013-06-14
USD0.02722013-03-13
20122.23%USD 0.227USD0.04362012-12-13
USD0.0382012-09-13
USD0.0532012-06-15
USD0.0922012-03-16
20112.41%USD 0.245USD0.0242011-12-15
USD0.0612011-09-16
USD0.0652011-06-16
USD0.0952011-03-17
20101.84%USD 0.187USD0.0472010-12-15
USD0.0382010-09-16
USD0.0622010-06-17
USD0.042010-03-18
20092.32%USD 0.236USD0.0482009-12-15
USD0.0492009-09-17
USD0.0632009-06-18
USD0.0762009-03-19
20082.18%USD 0.222USD0.0382008-12-16
USD0.0572008-09-18
USD0.0762008-06-19
USD0.0512008-03-19
20072.38%USD 0.242USD0.072007-12-17
USD0.0572007-09-19
USD0.0692007-06-21
USD0.0462007-03-22
20061.96%USD 0.2USD0.0582006-12-19
USD0.052006-09-21
USD0.0532006-06-22
USD0.0392006-03-23
20051.45%USD 0.147USD0.0392005-12-22
USD0.0352005-09-22
USD0.0442005-06-23
USD0.02942005-03-23
20041.11%USD 0.113USD0.0382004-12-21
USD0.02662004-09-23
USD0.02942004-06-24
USD0.01942004-03-25
20030.20%USD 0.02USD0.022003-12-23
20021.18%USD 0.12USD0.122002-12-23
200019.93%USD 2.029USD2.0292000-11-15