EQUITY GROWTH FUND I CLASS(AMEIX) USD 23.25
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.75%USD 0.175USD0.17532023-03-21
20229.48%USD 2.204USD1.84472022-12-02
USD0.07072022-09-20
USD0.07482022-06-21
USD0.15422022-05-10
USD0.05912022-03-22
202137.59%USD 8.74USD8.52152021-12-21
USD0.07152021-09-21
USD0.08732021-06-22
USD0.05972021-03-23
202017.50%USD 4.068USD3.772020-12-22
USD0.10642020-09-22
USD0.10422020-06-16
USD0.08762020-03-10
201914.36%USD 3.339USD3.01722019-12-20
USD0.09262019-09-17
USD0.08912019-06-18
USD0.13982019-03-19
201815.45%USD 3.592USD0.10432018-12-20
USD3.21072018-12-11
USD0.10072018-09-18
USD0.09592018-06-19
USD0.08032018-03-20
201714.53%USD 3.377USD0.11352017-12-26
USD2.86312017-12-12
USD0.17792017-09-19
USD0.10822017-06-20
USD0.11452017-03-21
20162.59%USD 0.603USD0.1242016-12-27
USD0.15022016-12-13
USD0.11392016-09-20
USD0.12412016-06-21
USD0.09112016-03-15
20159.92%USD 2.307USD0.13162015-12-28
USD1.83652015-12-15
USD0.10572015-09-08
USD0.11362015-06-09
USD0.11992015-03-10
201417.50%USD 4.069USD0.13162014-12-23
USD3.58892014-12-12
USD0.13122014-09-09
USD0.12452014-06-10
USD0.09242014-03-11
20137.64%USD 1.777USD0.13882013-12-23
USD1.30932013-12-10
USD0.13382013-09-10
USD0.11532013-06-11
USD0.07952013-03-12
20122.09%USD 0.486USD0.19462012-12-26
USD0.11792012-09-18
USD0.08692012-06-12
USD0.08642012-03-13
20111.49%USD 0.347USD0.12172011-12-27
USD0.08632011-09-20
USD0.06632011-06-14
USD0.07272011-03-22
20101.10%USD 0.255USD0.08552010-12-28
USD0.07092010-09-21
USD0.04532010-06-15
USD0.05312010-03-23
20091.19%USD 0.276USD0.08312009-12-29
USD0.05292009-09-15
USD0.06212009-06-16
USD0.07822009-03-17
20081.33%USD 0.308USD0.09592008-12-29
USD0.14722008-09-16
USD0.06512008-03-18
200710.09%USD 2.345USD0.08382007-12-28
USD1.78072007-12-18
USD0.072007-09-11
USD0.0682007-06-12
USD0.06172007-03-13
USD0.28112007-02-20
20064.58%USD 1.064USD0.09272006-12-27
USD0.75492006-12-19
USD0.06892006-09-12
USD0.05752006-06-13
USD0.05752006-03-14
USD0.03262006-03-07
20051.56%USD 0.364USD0.09962005-12-28
USD0.10152005-12-13
USD0.04362005-09-13
USD0.05782005-06-14
USD0.06132005-03-15
20041.22%USD 0.284USD0.09612004-12-28
USD0.06252004-09-14
USD0.07392004-06-15
USD0.05132004-03-16
20030.87%USD 0.202USD0.05412003-12-31
USD0.06212003-09-16
USD0.04672003-06-17
USD0.03922003-03-18
20020.79%USD 0.185USD0.0442002-12-31
USD0.04372002-09-30
USD0.04762002-06-28
USD0.04942002-03-28
20010.72%USD 0.168USD0.04372001-12-14
USD0.04252001-09-28
USD0.03962001-06-29
USD0.04262001-03-30
20007.34%USD 1.708USD1.24872000-12-18
USD0.0492000-12-15
USD0.04542000-10-02
USD0.04592000-07-03
USD0.0482000-03-31
USD0.27052000-03-13