AB RELATIVE VALUE FUND INC. CLASS I(CBBIX) USD 6.15
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.87%USD 0.484USD0.4842022-12-09
202111.16%USD 0.687USD0.68652021-12-10
20201.34%USD 0.082USD0.08242020-12-11
20194.29%USD 0.264USD0.26412019-12-13
201812.19%USD 0.75USD0.74952018-12-14
201712.29%USD 0.756USD0.75572017-12-15
20166.58%USD 0.405USD0.40452016-12-16
20154.05%USD 0.249USD0.24932015-12-18
20145.43%USD 0.334USD0.33382014-12-19
20131.06%USD 0.065USD0.06522013-12-18
20120.79%USD 0.048USD0.04832012-12-19
20100.65%USD 0.04USD0.042010-12-21
20090.78%USD 0.048USD0.0482009-12-22
20081.07%USD 0.066USD0.0662008-12-22
20077.61%USD 0.468USD0.4682007-12-21
20061.14%USD 0.07USD0.072006-12-14
20050.94%USD 0.058USD0.0452005-12-22
USD0.0132005-03-23