AB EQUITY INCOME FUND INC CLASS A(AUIAX) USD 27.18
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.53%USD 0.143USD0.14342023-03-07
20227.24%USD 1.969USD1.68492022-12-06
USD0.10752022-09-06
USD0.12692022-06-07
USD0.04952022-03-08
202118.47%USD 5.019USD4.70732021-12-07
USD0.08452021-09-07
USD0.15982021-06-08
USD0.06762021-03-02
20202.79%USD 0.757USD0.39442020-12-10
USD0.08142020-09-08
USD0.15722020-06-02
USD0.12432020-03-03
20195.82%USD 1.581USD1.11162019-12-12
USD0.12732019-09-04
USD0.23722019-06-04
USD0.10472019-03-05
201811.89%USD 3.231USD2.73032018-12-13
USD0.15152018-09-05
USD0.22522018-06-05
USD0.1242018-03-06
20176.52%USD 1.771USD1.29182017-12-14
USD0.16192017-09-06
USD0.18342017-06-06
USD0.13422017-03-07
20162.76%USD 0.75USD0.25792016-12-15
USD0.16532016-09-07
USD0.13162016-06-07
USD0.19532016-03-08
20154.82%USD 1.31USD0.83322015-12-17
USD0.11972015-09-09
USD0.18412015-06-09
USD0.17342015-03-10
201410.30%USD 2.801USD2.03012014-12-18
USD0.10672014-09-09
USD0.51572014-06-10
USD0.14822014-03-11
201310.53%USD 2.863USD2.44562013-12-20
USD0.12152013-09-11
USD0.1592013-06-14
USD0.13722013-03-13
20123.72%USD 1.01USD0.58982012-12-20
USD0.13642012-09-13
USD0.1342012-06-15
USD0.152012-03-16
20112.37%USD 0.643USD0.38912011-12-22
USD0.1082011-09-16
USD0.0722011-06-16
USD0.0742011-03-17
20102.18%USD 0.593USD0.0952010-12-22
USD0.2042010-09-16
USD0.1982010-06-17
USD0.0962010-03-18
20092.19%USD 0.594USD0.1392009-12-23
USD0.1642009-09-17
USD0.1962009-06-18
USD0.0952009-03-19
20081.75%USD 0.476USD0.0912008-12-23
USD0.1522008-09-18
USD0.1522008-06-19
USD0.0812008-03-19
20071.84%USD 0.499USD0.1342007-12-19
USD0.1082007-09-19
USD0.1722007-06-21
USD0.0852007-03-22
20061.69%USD 0.459USD0.0972006-12-21
USD0.1262006-09-21
USD0.1542006-06-22
USD0.0822006-03-23
20051.59%USD 0.432USD0.0872005-12-22
USD0.132005-09-22
USD0.1262005-06-23
USD0.08852005-03-23
20041.37%USD 0.373USD0.19252004-12-21
USD0.062004-09-23
USD0.062004-06-24
USD0.062004-03-25
20031.14%USD 0.309USD0.1292003-12-22
USD0.062003-09-23
USD0.062003-06-24
USD0.062003-03-25
20020.88%USD 0.24USD0.062002-12-23
USD0.062002-09-20
USD0.062002-06-14
USD0.062002-03-15
20011.18%USD 0.32USD0.082001-12-14
USD0.082001-09-21
USD0.082001-06-15
USD0.082001-03-15
20003.99%USD 1.084USD0.8442000-12-15
USD0.082000-09-15
USD0.082000-06-15
USD0.082000-03-15