AB RELATIVE VALUE FUND INC. CLASS C(CBBCX) USD 6.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.00%USD 0.421USD0.42062022-12-09
202110.39%USD 0.625USD0.62462021-12-10
20200.25%USD 0.015USD0.01492020-12-11
20193.24%USD 0.195USD0.19462019-12-13
201811.42%USD 0.686USD0.68612018-12-14
201711.49%USD 0.691USD0.69072017-12-15
20165.71%USD 0.343USD0.34322016-12-16
20153.16%USD 0.19USD0.18982015-12-18
20144.61%USD 0.277USD0.0042014-12-22
USD0.27292014-12-19
20130.19%USD 0.011USD0.01132013-12-18
20120.05%USD 0.003USD0.00312012-12-19
20110.24%USD 0.015USD0.01462011-12-15
20090.10%USD 0.006USD0.0062009-12-22
20080.17%USD 0.01USD0.012008-12-22
20076.74%USD 0.405USD0.4052007-12-21
20060.20%USD 0.012USD0.0122006-12-14
20050.28%USD 0.017USD0.0132005-12-22
USD0.0042005-03-23
20040.27%USD 0.016USD0.0042004-12-21
USD0.0042004-09-23
USD0.0042004-06-24
USD0.0042004-03-25
20030.27%USD 0.016USD0.0042003-12-22
USD0.0042003-09-23
USD0.0042003-06-24
USD0.0042003-03-25
20020.27%USD 0.016USD0.0042002-12-23
USD0.0042002-09-20
USD0.0042002-06-14
USD0.0042002-03-15
20011.85%USD 0.111USD0.0992001-12-14
USD0.0042001-09-21
USD0.0042001-06-15
USD0.0042001-03-15
20004.21%USD 0.253USD0.2412000-12-15
USD0.0042000-09-15
USD0.0042000-06-15
USD0.0042000-03-15