INVESCO CONVERTIBLE SECURITIES FUND CLASS C(CNSCX) USD 21.28
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.10%USD 0.022USD0.0222023-03-23
20222.91%USD 0.619USD0.61692022-12-14
USD0.00142022-09-22
USD0.00082022-06-23
202133.26%USD 7.078USD7.05612021-12-14
USD0.00232021-06-24
USD0.022021-03-25
202015.12%USD 3.218USD3.0912020-12-11
USD0.03672020-09-17
USD0.04812020-06-18
USD0.04232020-03-19
20195.43%USD 1.156USD1.02162019-12-13
USD0.04752019-09-19
USD0.04342019-06-20
USD0.04372019-03-21
201811.53%USD 2.454USD2.12342018-12-14
USD0.07632018-09-13
USD0.11292018-06-21
USD0.14152018-03-22
20174.10%USD 0.872USD0.23542017-12-13
USD0.21062017-09-14
USD0.21192017-06-15
USD0.21412017-03-16
20163.02%USD 0.643USD0.22972016-12-13
USD0.17162016-09-13
USD0.12752016-06-16
USD0.11392016-03-17
20151.87%USD 0.399USD0.06352015-12-11
USD0.11312015-09-17
USD0.11132015-06-18
USD0.11082015-03-19
20144.96%USD 1.056USD0.83132014-12-12
USD0.07262014-09-18
USD0.07382014-06-19
USD0.07832014-03-20
20134.37%USD 0.929USD0.6552013-12-13
USD0.08942013-09-19
USD0.09112013-06-20
USD0.09382013-03-21
20121.56%USD 0.331USD0.09822012-12-07
USD0.08822012-09-20
USD0.07812012-06-14
USD0.06662012-03-15
20111.12%USD 0.239USD0.0622011-12-09
USD0.0622011-09-15
USD0.0582011-06-16
USD0.0572011-03-17
20102.48%USD 0.528USD0.092010-12-03
USD0.1372010-09-16
USD0.1552010-06-23
USD0.1462010-03-31
20092.10%USD 0.447USD0.142009-12-15
USD0.1432009-09-30
USD0.0822009-06-23
USD0.0822009-03-31
20081.52%USD 0.324USD0.0812008-12-15
USD0.0812008-09-23
USD0.082008-06-23
USD0.0822008-03-24
20071.53%USD 0.325USD0.0812007-12-14
USD0.0822007-09-21
USD0.0812007-06-22
USD0.0812007-03-23
20061.75%USD 0.373USD0.1262006-12-15
USD0.0752006-09-22
USD0.0762006-06-23
USD0.0962006-03-24
20051.55%USD 0.33USD0.0712005-12-15
USD0.0712005-09-23
USD0.0842005-06-23
USD0.1042005-03-23
20042.08%USD 0.443USD0.12004-12-15
USD0.1022004-09-23
USD0.0382004-08-27
USD0.1012004-06-23
USD0.1022004-03-24
20031.86%USD 0.396USD0.1012003-12-15
USD0.1022003-09-23
USD0.0982003-06-23
USD0.0952003-03-24
20022.34%USD 0.498USD0.0962002-12-13
USD0.1152002-09-23
USD0.142002-06-21
USD0.1472002-03-21
20012.65%USD 0.563USD0.1422001-12-14
USD0.142001-09-28
USD0.142001-06-22
USD0.1412001-03-23
20002.61%USD 0.556USD0.142000-12-15
USD0.1442000-09-22
USD0.1412000-06-23
USD0.1312000-03-24