DREYFUS DISCIPLINED STOCK FUND DREYFUS DISCIPLINED STOCK FUND(DDSTX) USD 32.74
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.44%USD 0.471USD0.2212022-12-21
USD0.1122022-09-12
USD0.1252022-06-06
USD0.0132022-03-07
20211.35%USD 0.443USD0.2072021-12-21
USD0.1162021-09-07
USD0.1022021-06-07
USD0.0182021-03-08
20201.62%USD 0.53USD0.1962020-12-21
USD0.1252020-09-08
USD0.1012020-06-08
USD0.1082020-03-09
20199.77%USD 3.198USD2.9012019-12-11
USD0.12612019-11-04
USD0.08632019-08-02
USD0.08462019-05-02
201818.09%USD 5.923USD5.68582018-12-10
USD0.09772018-11-02
USD0.07482018-08-02
USD0.06432018-05-02
201711.90%USD 3.896USD3.65472017-12-06
USD0.08332017-11-02
USD0.11172017-08-02
USD0.0462017-05-02
20163.32%USD 1.088USD0.79892016-12-06
USD0.09982016-11-02
USD0.1042016-08-02
USD0.08482016-05-03
201512.19%USD 3.991USD3.76812015-12-09
USD0.0742015-11-03
USD0.0722015-08-04
USD0.0772015-05-04
201412.62%USD 4.132USD3.93852014-12-11
USD0.082014-11-04
USD0.0662014-08-04
USD0.04792014-05-02
201320.50%USD 6.713USD6.52052013-12-12
USD0.0642013-11-04
USD0.0892013-08-02
USD0.0392013-05-02
20121.00%USD 0.326USD0.1232012-12-07
USD0.0732012-11-02
USD0.0942012-08-02
USD0.0362012-05-02
20110.74%USD 0.241USD0.0832011-12-07
USD0.0632011-11-02
USD0.0622011-08-02
USD0.0332011-05-03
20100.57%USD 0.185USD0.0722010-12-03
USD0.0432010-11-02
USD0.0412010-08-03
USD0.0292010-05-04
20090.65%USD 0.213USD0.0582009-12-03
USD0.0272009-11-03
USD0.0652009-08-04
USD0.0632009-05-04
20081.15%USD 0.377USD0.1372008-12-04
USD0.0772008-11-04
USD0.0832008-08-04
USD0.082008-05-02
200712.80%USD 4.191USD4.0192007-12-06
USD0.0692007-11-02
USD0.0562007-08-02
USD0.0472007-05-02
200611.32%USD 3.706USD3.5092006-12-12
USD0.0592006-11-02
USD0.0772006-08-02
USD0.0612006-05-02
20050.60%USD 0.197USD0.1352005-12-14
USD0.0622005-11-02
20041.19%USD 0.391USD0.2512004-12-14
USD0.052004-11-02
USD0.0462004-08-03
USD0.0442004-05-04
20030.54%USD 0.177USD0.0582003-12-11
USD0.0412003-11-04
USD0.0322003-08-04
USD0.0462003-05-02
20020.42%USD 0.139USD0.0442002-12-11
USD0.0452002-11-05
USD0.0012002-10-31
USD0.032002-08-02
USD0.0012002-06-28
USD0.0182002-05-03
20010.24%USD 0.08USD0.0352001-12-14
USD0.0152001-11-02
USD0.0152001-08-02
USD0.0152001-05-04
20000.03%USD 0.009USD0.0022000-12-11
USD0.0022000-11-03
USD0.0052000-05-31