AB GLOBAL REAL ESTATE INVESTMENT FUND INC. CLASS A(AREAX) USD 13.34
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.61%USD 0.214USD0.08282022-12-07
USD0.1182022-09-07
USD0.01362022-06-08
20212.81%USD 0.375USD0.30962021-12-08
USD0.01692021-09-08
USD0.04852021-06-09
20200.76%USD 0.101USD0.03592020-12-09
USD0.02442020-09-09
USD0.04052020-06-10
20196.81%USD 0.908USD0.78522019-12-11
USD0.03462019-09-11
USD0.08782019-06-12
USD0.00072019-03-13
20183.84%USD 0.513USD0.2982018-12-12
USD0.05712018-09-12
USD0.10982018-06-13
USD0.0482018-03-14
20176.83%USD 0.911USD0.80452017-12-13
USD0.01022017-09-13
USD0.09632017-06-14
20163.91%USD 0.521USD0.23932016-12-14
USD0.10942016-09-14
USD0.09892016-06-15
USD0.07362016-03-16
20152.72%USD 0.362USD0.22572015-12-16
USD0.03832015-09-16
USD0.06792015-06-17
USD0.03042015-03-18
20143.83%USD 0.511USD0.51092014-12-18
20133.73%USD 0.497USD0.49742013-12-20
20125.95%USD 0.794USD0.7792012-12-20
USD0.0152012-07-17
20112.81%USD 0.375USD0.37452011-12-22
20102.71%USD 0.362USD0.36162010-12-21
20094.61%USD 0.615USD0.53732009-12-22
USD0.04292009-06-18
USD0.0352009-03-19
20081.37%USD 0.183USD0.0152008-12-23
USD0.05292008-09-18
USD0.05592008-06-19
USD0.05892008-03-19
200766.58%USD 8.882USD8.66322007-12-19
USD0.04992007-09-19
USD0.07192007-06-21
USD0.0972007-03-22
200621.69%USD 2.893USD2.73562006-12-21
USD0.04992006-09-21
USD0.05192006-06-22
USD0.05592006-03-23
20051.92%USD 0.256USD0.0872005-12-22
USD0.05392005-09-22
USD0.06192005-06-23
USD0.0532005-03-23
20043.89%USD 0.519USD0.12982004-12-21
USD0.12982004-09-23
USD0.12982004-06-24
USD0.12982004-03-25
20033.89%USD 0.519USD0.12982003-12-22
USD0.12982003-09-23
USD0.12982003-06-24
USD0.12982003-03-25
20023.89%USD 0.519USD0.12982002-12-23
USD0.12982002-09-20
USD0.12982002-06-14
USD0.12982002-03-15
20013.89%USD 0.519USD0.12982001-12-14
USD0.12982001-09-21
USD0.12982001-06-15
USD0.12982001-03-15
20004.34%USD 0.579USD0.12982000-12-15
USD0.14982000-09-15
USD0.14982000-06-15
USD0.14982000-03-15