VP VALUE FUND CLASS II(AVPVX) USD 11.75
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20238.91%USD 1.047USD1.04712023-03-28
202211.16%USD 1.311USD0.0522022-12-28
USD0.0552022-09-27
USD0.07762022-06-28
USD1.12682022-03-29
20211.77%USD 0.208USD0.04672021-12-28
USD0.05932021-09-28
USD0.05112021-06-29
USD0.05052021-03-30
20204.06%USD 0.477USD0.05412020-12-29
USD0.05032020-09-29
USD0.10512020-06-23
USD0.26772020-03-24
20197.34%USD 0.862USD0.04312019-12-30
USD0.0492019-09-24
USD0.04852019-06-25
USD0.72162019-03-26
20181.46%USD 0.171USD0.03912018-12-27
USD0.04262018-09-25
USD0.04122018-06-26
USD0.04852018-03-27
20171.37%USD 0.162USD0.03152017-12-28
USD0.05452017-09-26
USD0.03792017-06-27
USD0.03762017-03-28
20161.28%USD 0.151USD0.0382016-12-29
USD0.03182016-09-27
USD0.03622016-06-28
USD0.04472016-03-22
20151.56%USD 0.183USD0.04532015-12-30
USD0.04082015-09-29
USD0.04022015-06-23
USD0.05682015-03-24
20141.05%USD 0.124USD0.01292014-12-30
USD0.0322014-09-23
USD0.03712014-06-17
USD0.04172014-03-25
20130.98%USD 0.115USD0.02332013-12-30
USD0.02792013-09-24
USD0.03612013-06-18
USD0.02752013-03-26
20120.95%USD 0.112USD0.0312012-12-28
USD0.02562012-09-25
USD0.02342012-06-19
USD0.03172012-03-27
20110.94%USD 0.11USD0.01822011-12-29
USD0.02432011-09-27
USD0.03622011-06-21
USD0.03132011-03-29
20101.03%USD 0.121USD0.03572010-12-30
USD0.03282010-09-28
USD0.01992010-06-22
USD0.0092010-04-30
USD0.02372010-03-30
20092.13%USD 0.25USD0.02312009-12-30
USD0.01972009-09-22
USD0.05362009-06-23
USD0.15342009-02-11
20088.45%USD 0.992USD0.99232008-03-11
20077.18%USD 0.843USD0.84332007-03-06
20067.14%USD 0.839USD0.83852006-03-07
20058.03%USD 0.943USD0.94332005-03-08
20041.69%USD 0.199USD0.13082004-03-09
USD0.0682004-03-08
20030.53%USD 0.063USD0.06282003-03-11