DREYFUS YIELD ENHANCEMENT STRATEGY FUND CLASS C(DABLX) USD 10.88
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.50%USD 0.055USD0.02842023-03-02
USD0.02622023-02-02
20223.76%USD 0.409USD0.15642022-12-30
USD0.02632022-12-02
USD0.04212022-11-02
USD0.02472022-10-04
USD0.02252022-09-02
USD0.02992022-08-02
USD0.02082022-07-05
USD0.01752022-06-02
USD0.02352022-05-03
USD0.01682022-04-04
USD0.01622022-03-02
USD0.01242022-02-02
20212.54%USD 0.276USD0.05362021-12-31
USD0.01682021-12-02
USD0.02042021-11-02
USD0.0192021-10-04
USD0.01922021-09-02
USD0.02132021-08-03
USD0.0242021-07-02
USD0.01922021-06-02
USD0.02212021-05-04
USD0.02162021-04-05
USD0.01792021-03-02
USD0.02082021-02-02
20204.44%USD 0.483USD0.07032020-12-31
USD0.02032020-12-02
USD0.03182020-11-30
USD0.03182020-11-03
USD0.02152020-10-30
USD0.02152020-10-02
USD0.02152020-09-30
USD0.02152020-09-02
USD0.03362020-08-31
USD0.03362020-08-04
USD0.02222020-07-31
USD0.02222020-07-02
USD0.02252020-06-02
USD0.03112020-05-04
USD0.0272020-04-03
USD0.0232020-03-03
USD0.0282020-02-04
20193.07%USD 0.334USD0.06352019-12-31
USD0.0142019-12-03
USD0.03022019-11-04
USD0.02282019-10-02
USD0.01732019-09-04
USD0.03452019-08-02
USD0.01722019-07-02
USD0.02162019-06-04
USD0.03342019-05-02
USD0.03112019-04-02
USD0.02572019-03-04
USD0.02242019-02-04
20183.84%USD 0.417USD0.12072018-12-31
USD0.0222018-12-04
USD0.01192018-11-02
USD0.02392018-10-02
USD0.02572018-09-05
USD0.03462018-08-02
USD0.02472018-07-03
USD0.02882018-06-04
USD0.03822018-05-02
USD0.0292018-04-03
USD0.02762018-03-02
USD0.03022018-02-02
20172.98%USD 0.325USD0.03982017-12-29
USD0.04612017-12-04
USD0.03472017-11-02
USD0.02372017-10-03
USD0.0452017-08-02
USD0.02082017-07-05
USD0.02422017-06-02
USD0.0112017-05-02
USD0.02642017-04-04
USD0.02442017-03-02
USD0.02852017-02-02
20163.51%USD 0.382USD0.03922016-12-30
USD0.03182016-12-02
USD0.03412016-11-02
USD0.032016-10-04
USD0.02982016-09-02
USD0.03352016-08-02
USD0.02872016-07-05
USD0.02862016-06-02
USD0.03092016-05-03
USD0.03082016-04-04
USD0.03122016-03-02
USD0.03332016-02-02
20153.64%USD 0.396USD0.05172015-12-31
USD0.03142015-12-02
USD0.03462015-11-03
USD0.03032015-10-02
USD0.03042015-09-02
USD0.03472015-08-04
USD0.0312015-07-02
USD0.032015-06-02
USD0.03042015-05-04
USD0.03042015-04-02
USD0.02862015-03-03
USD0.03292015-02-03
20142.00%USD 0.218USD0.02642014-12-31
USD0.02472014-12-02
USD0.02932014-11-04
USD0.02562014-10-02
USD0.02762014-09-03
USD0.02862014-08-04
USD0.02612014-07-02
USD0.02952014-06-03