AB EQUITY INCOME FUND INC CLASS C(AUICX) USD 26.69
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.32%USD 0.085USD0.08472023-03-07
20226.62%USD 1.766USD1.63752022-12-06
USD0.0562022-09-06
USD0.07242022-06-07
202117.79%USD 4.748USD4.64882021-12-07
USD0.0212021-09-07
USD0.0682021-06-08
USD0.01062021-03-02
20202.09%USD 0.557USD0.34822020-12-10
USD0.02422020-09-08
USD0.11412020-06-02
USD0.07052020-03-03
20195.22%USD 1.392USD1.06132019-12-12
USD0.07322019-09-04
USD0.18682019-06-04
USD0.07112019-03-05
201811.28%USD 3.011USD2.65962018-12-13
USD0.09592018-09-05
USD0.17022018-06-05
USD0.08522018-03-06
20175.80%USD 1.547USD1.22012017-12-14
USD0.10832017-09-06
USD0.12132017-06-06
USD0.09762017-03-07
20162.11%USD 0.564USD0.1962016-12-15
USD0.11732016-09-07
USD0.08572016-06-07
USD0.16522016-03-08
20154.25%USD 1.133USD0.78062015-12-17
USD0.07472015-09-09
USD0.1382015-06-09
USD0.142015-03-10
20149.78%USD 2.611USD1.96962014-12-18
USD0.05862014-09-09
USD0.46852014-06-10
USD0.1142014-03-11
201310.07%USD 2.688USD2.3872013-12-20
USD0.07972013-09-11
USD0.11582013-06-14
USD0.10552013-03-13
20123.21%USD 0.856USD0.54242012-12-20
USD0.09792012-09-13
USD0.0962012-06-15
USD0.122012-03-16
20111.86%USD 0.496USD0.34892011-12-22
USD0.072011-09-16
USD0.0332011-06-16
USD0.0442011-03-17
20101.69%USD 0.452USD0.0522010-12-22
USD0.1692010-09-16
USD0.1632010-06-17
USD0.0682010-03-18
20091.73%USD 0.462USD0.0982009-12-23
USD0.132009-09-17
USD0.1642009-06-18
USD0.072009-03-19
20081.16%USD 0.309USD0.052008-12-23
USD0.1092008-09-18
USD0.1072008-06-19
USD0.0432008-03-19
20071.20%USD 0.32USD0.0782007-12-19
USD0.0652007-09-19
USD0.1292007-06-21
USD0.0482007-03-22
20061.19%USD 0.317USD0.0552006-12-21
USD0.092006-09-21
USD0.1212006-06-22
USD0.0512006-03-23
20051.15%USD 0.306USD0.052005-12-22
USD0.0982005-09-22
USD0.0952005-06-23
USD0.06332005-03-23
20041.01%USD 0.27USD0.1652004-12-21
USD0.0352004-09-23
USD0.0352004-06-24
USD0.0352004-03-25
20030.78%USD 0.208USD0.1032003-12-22
USD0.0352003-09-23
USD0.0352003-06-24
USD0.0352003-03-25
20020.52%USD 0.14USD0.0352002-12-23
USD0.0352002-09-20
USD0.0352002-06-14
USD0.0352002-03-15
20010.93%USD 0.248USD0.0622001-12-14
USD0.0622001-09-21
USD0.0622001-06-15
USD0.0622001-03-15
20003.77%USD 1.006USD0.822000-12-15
USD0.0622000-09-15
USD0.0622000-06-15
USD0.0622000-03-15