INVESCO WORLD BOND FUND CLASS Y(AUBYX) USD 8.87
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.32%USD 0.029USD0.00962023-03-23
USD0.00962023-02-16
USD0.00952023-01-19
20221.46%USD 0.129USD0.00952022-12-14
USD0.00952022-11-17
USD0.00952022-10-20
USD0.00962022-09-22
USD0.00972022-08-18
USD0.01752022-07-21
USD0.01752022-06-23
USD0.00912022-05-19
USD0.00932022-04-21
USD0.00932022-03-24
USD0.00942022-02-17
USD0.00942022-01-20
20212.67%USD 0.237USD0.1132021-12-14
USD0.00952021-11-18
USD0.00952021-10-21
USD0.00952021-09-23
USD0.00952021-08-19
USD0.02932021-07-15
USD0.00952021-06-24
USD0.00952021-05-20
USD0.00942021-04-15
USD0.00952021-03-25
USD0.00952021-02-18
USD0.00952021-01-21
20203.62%USD 0.321USD0.15562020-12-11
USD0.01012020-11-19
USD0.01012020-10-15
USD0.01012020-09-17
USD0.01012020-08-20
USD0.012020-07-16
USD0.012020-06-18
USD0.012020-05-21
USD0.0222020-04-16
USD0.02492020-03-19
USD0.02292020-02-20
USD0.02492020-01-16
20192.57%USD 0.228USD0.02492019-12-13
USD0.02492019-11-21
USD0.007422019-10-17
USD0.007422019-09-19
USD0.007392019-08-15
USD0.007392019-07-18
USD0.02482019-06-20
USD0.02482019-05-16
USD0.02482019-04-18
USD0.02482019-03-21
USD0.02482019-02-21
USD0.02472019-01-17
20183.35%USD 0.297USD0.02472018-12-14
USD0.02472018-11-15
USD0.02472018-10-18
USD0.02472018-09-13
USD0.02472018-08-16
USD0.02472018-07-19
USD0.02472018-06-21
USD0.02472018-05-17
USD0.02482018-04-19
USD0.02482018-03-22
USD0.02482018-02-15
USD0.02482018-01-18
20173.34%USD 0.297USD0.02482017-12-13
USD0.02482017-11-16
USD0.02482017-10-19
USD0.02482017-09-14
USD0.02472017-08-17
USD0.02472017-07-20
USD0.02472017-06-15
USD0.02472017-05-18
USD0.02472017-04-20
USD0.02472017-03-16
USD0.02462017-02-16
USD0.02462017-01-19
20162.26%USD 0.2USD0.05472016-12-13
USD0.05532016-09-15
USD0.0552016-06-16
USD0.03512016-03-17
20151.59%USD 0.141USD0.0352015-12-11
USD0.03522015-09-17
USD0.03522015-06-18
USD0.03532015-03-19
20143.20%USD 0.284USD0.17692014-12-12
USD0.03582014-09-18
USD0.03582014-06-19
USD0.03572014-03-20
20134.00%USD 0.355USD0.25692013-12-13
USD0.02662013-09-19
USD0.03572013-06-20
USD0.03582013-03-21
20121.74%USD 0.154USD0.03612012-12-07
USD0.03612012-09-20
USD0.0362012-06-14
USD0.0462012-03-15
20117.96%USD 0.706USD0.53312011-12-09
USD0.0552011-09-15
USD0.0552011-06-16
USD0.0632011-03-17
201010.49%USD 0.93USD0.79242010-12-03
USD0.0462010-09-16
USD0.0462010-06-17
USD0.0462010-03-18
20092.12%USD 0.188USD0.0532009-12-11
USD0.0452009-09-18
USD0.0452009-06-19
USD0.0452009-03-20
20080.48%USD 0.043USD0.0432008-12-12