INVESCO CONVERTIBLE SECURITIES FUND CLASS A(CNSAX) USD 21.47
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.29%USD 0.062USD0.06162023-03-23
20223.64%USD 0.781USD0.65612022-12-14
USD0.04162022-09-22
USD0.04162022-06-23
USD0.04162022-03-24
202133.93%USD 7.284USD7.09772021-12-14
USD0.04122021-09-23
USD0.06262021-06-24
USD0.08262021-03-25
202015.98%USD 3.432USD3.15462020-12-11
USD0.09332020-09-17
USD0.0972020-06-18
USD0.08692020-03-19
20196.24%USD 1.339USD1.06782019-12-13
USD0.0932019-09-19
USD0.0892019-06-20
USD0.08912019-03-21
201812.34%USD 2.649USD2.16972018-12-14
USD0.12682018-09-13
USD0.16282018-06-21
USD0.18942018-03-22
20174.93%USD 1.058USD0.28342017-12-13
USD0.2582017-09-14
USD0.25832017-06-15
USD0.25822017-03-16
20163.76%USD 0.808USD0.26842016-12-13
USD0.21682016-09-13
USD0.1712016-06-16
USD0.15172016-03-17
20152.61%USD 0.561USD0.14082015-12-11
USD0.14032015-09-17
USD0.13972015-06-18
USD0.14062015-03-19
20145.77%USD 1.24USD0.86882014-12-12
USD0.12162014-09-18
USD0.12222014-06-19
USD0.1272014-03-20
20135.13%USD 1.101USD0.70152013-12-13
USD0.13552013-09-19
USD0.13552013-06-20
USD0.1282013-03-21
20122.15%USD 0.462USD0.12552012-12-07
USD0.11552012-09-20
USD0.11552012-06-14
USD0.10542012-03-15
20111.81%USD 0.389USD0.09792011-12-09
USD0.09792011-09-15
USD0.09682011-06-16
USD0.09682011-03-17
20103.09%USD 0.664USD0.12762010-12-03
USD0.17152010-09-16
USD0.18832010-06-23
USD0.1772010-03-31
20092.61%USD 0.561USD0.1742009-12-15
USD0.1722009-09-30
USD0.1082009-06-23
USD0.1072009-03-31
20082.11%USD 0.452USD0.1052008-12-15
USD0.1142008-09-23
USD0.1162008-06-23
USD0.1172008-03-24
20072.18%USD 0.468USD0.1182007-12-14
USD0.1162007-09-21
USD0.1162007-06-22
USD0.1182007-03-23
20062.24%USD 0.481USD0.162006-12-15
USD0.1082006-09-22
USD0.1082006-06-23
USD0.1052006-03-24
20052.12%USD 0.455USD0.1022005-12-15
USD0.1032005-09-23
USD0.1172005-06-23
USD0.1332005-03-23
20042.45%USD 0.527USD0.1322004-12-15
USD0.1312004-09-23
USD0.1312004-06-23
USD0.1332004-03-24
20032.33%USD 0.5USD0.132003-12-15
USD0.1282003-09-23
USD0.1212003-06-23
USD0.1212003-03-24
20022.78%USD 0.596USD0.122002-12-13
USD0.1412002-09-23
USD0.1682002-06-21
USD0.1672002-03-21
20013.14%USD 0.674USD0.172001-12-14
USD0.1662001-09-28
USD0.1692001-06-22
USD0.1692001-03-23
20003.22%USD 0.691USD0.1722000-12-15
USD0.1722000-09-22
USD0.1712000-06-23
USD0.1762000-03-24