MID CAP VALUE FUND I CLASS(AVUAX) USD 15.77
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.23%USD 0.037USD0.03652023-03-21
202214.88%USD 2.347USD1.0492022-12-21
USD0.08772022-09-20
USD0.09772022-06-21
USD1.11282022-03-22
202118.43%USD 2.906USD2.70072021-12-21
USD0.08212021-09-21
USD0.07852021-06-22
USD0.04462021-03-23
20202.17%USD 0.342USD0.1542020-12-22
USD0.07872020-09-22
USD0.0762020-06-16
USD0.03332020-03-10
20191.79%USD 0.282USD0.08542019-12-20
USD0.06462019-09-17
USD0.07692019-06-18
USD0.0552019-03-19
201812.21%USD 1.926USD0.0692018-12-20
USD1.712018-12-11
USD0.05612018-09-18
USD0.0582018-06-19
USD0.03262018-03-20
201710.77%USD 1.699USD0.08482017-12-26
USD1.38652017-12-12
USD0.1352017-09-19
USD0.0562017-06-20
USD0.03632017-03-21
20164.63%USD 0.73USD0.10952016-12-27
USD0.47542016-12-13
USD0.05022016-09-20
USD0.07152016-06-21
USD0.02322016-03-15
201510.43%USD 1.645USD0.08462015-12-28
USD1.4412015-12-08
USD0.05182015-09-08
USD0.06132015-06-09
USD0.00622015-03-10
201411.81%USD 1.863USD0.07172014-12-23
USD1.64612014-12-09
USD0.062014-09-09
USD0.07842014-06-10
USD0.00682014-03-11
20137.59%USD 1.196USD0.09172013-12-23
USD0.9612013-12-06
USD0.04542013-09-10
USD0.08252013-06-11
USD0.01582013-03-12
20123.73%USD 0.588USD0.08792012-12-26
USD0.32162012-12-07
USD0.06482012-09-18
USD0.10782012-06-12
USD0.00582012-03-13
20115.17%USD 0.815USD0.06782011-12-27
USD0.60592011-12-09
USD0.05862011-09-20
USD0.05632011-06-14
USD0.02642011-03-22
20101.59%USD 0.251USD0.05222010-12-28
USD0.13032010-09-21
USD0.0432010-06-15
USD0.02512010-03-23
20091.12%USD 0.177USD0.06312009-12-29
USD0.04182009-09-15
USD0.03482009-06-16
USD0.03742009-03-17
20081.29%USD 0.204USD0.06572008-12-29
USD0.05212008-09-16
USD0.05412008-06-17
USD0.0322008-03-18
20078.47%USD 1.336USD0.06432007-12-28
USD1.16072007-12-11
USD0.05212007-09-11
USD0.03522007-06-12
USD0.02322007-03-13
20065.31%USD 0.838USD0.06832006-12-27
USD0.65712006-12-12
USD0.04012006-09-12
USD0.03562006-06-13
USD0.03652006-03-14
20057.17%USD 1.131USD0.04842005-12-28
USD0.91782005-12-06
USD0.02922005-09-13
USD0.1212005-06-14
USD0.01492005-03-15
20041.91%USD 0.301USD0.01362004-12-28
USD0.26692004-12-07
USD0.02092004-09-14