DELAWARE VALUE FUND DELAWARE VALUE FUND CLASS A(DDVAX) USD 18.04
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.37%USD 0.067USD0.0672023-03-22
202210.55%USD 1.903USD1.7012022-12-16
USD0.0852022-09-22
USD0.052022-06-22
USD0.0672022-03-22
202129.20%USD 5.268USD5.022021-12-17
USD0.0952021-09-22
USD0.0572021-06-22
USD0.0962021-03-22
20202.86%USD 0.516USD0.2342020-12-18
USD0.0932020-09-22
USD0.0812020-06-22
USD0.1082020-03-20
20195.75%USD 1.038USD0.7712019-12-19
USD0.0932019-09-20
USD0.0872019-06-21
USD0.0872019-03-22
20186.69%USD 1.206USD0.9632018-12-21
USD0.0852018-09-21
USD0.0722018-06-22
USD0.0862018-03-22
20174.51%USD 0.813USD0.6012017-12-22
USD0.0572017-09-22
USD0.0832017-06-22
USD0.0722017-03-22
20162.48%USD 0.448USD0.2322016-12-22
USD0.0722016-09-22
USD0.0762016-06-22
USD0.0682016-03-22
20152.94%USD 0.53USD0.3232015-12-22
USD0.0732015-09-22
USD0.0712015-06-22
USD0.0632015-03-20
20141.37%USD 0.247USD0.0612014-12-22
USD0.0642014-09-22
USD0.0592014-06-20
USD0.0632014-03-21
20131.23%USD 0.222USD0.0512013-12-20
USD0.0652013-09-20
USD0.0532013-06-21
USD0.0532013-03-22
20120.94%USD 0.17USD0.172012-12-21
20111.08%USD 0.194USD0.1942011-12-22
20100.99%USD 0.179USD0.1792010-12-22
20091.05%USD 0.189USD0.1892009-12-22
20081.41%USD 0.254USD0.2542008-12-22
20074.93%USD 0.889USD0.8892007-12-21
20062.30%USD 0.415USD0.4152006-12-21
20050.68%USD 0.122USD0.1222005-12-22
20042.51%USD 0.452USD0.4522004-12-22
20030.52%USD 0.094USD0.0942003-12-22
20020.45%USD 0.081USD0.0812002-12-20
20010.40%USD 0.072USD0.0722001-12-21
20002.59%USD 0.467USD0.4672000-12-22