DREYFUS WORLDWIDE GROWTH FUND CLASS I(DPWRX) USD 63.7
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.99%USD 4.455USD4.15332022-12-14
USD0.0642022-11-02
USD0.14612022-08-02
USD0.09112022-05-03
20219.58%USD 6.103USD5.86322021-12-15
USD0.14142021-08-03
USD0.09882021-05-04
20204.33%USD 2.755USD2.37272020-12-15
USD0.1062020-11-03
USD0.12422020-08-04
USD0.15252020-05-04
20196.54%USD 4.163USD3.72752019-12-13
USD0.09322019-11-04
USD0.20662019-08-02
USD0.13592019-05-02
201816.86%USD 10.738USD10.12182018-12-13
USD0.13772018-11-02
USD0.0222018-09-28
USD0.27332018-08-02
USD0.02562018-06-29
USD0.12572018-05-02
USD0.0322018-03-29
201716.66%USD 10.613USD6.86292017-12-28
USD3.0162017-12-01
USD0.14482017-11-02
USD0.03312017-09-29
USD0.25052017-08-02
USD0.05112017-06-30
USD0.20292017-05-02
USD0.0522017-03-31
201610.67%USD 6.796USD3.52492016-12-29
USD2.45482016-12-01
USD0.122016-11-02
USD0.0562016-09-30
USD0.26862016-08-02
USD0.0682016-06-30
USD0.23832016-05-03
USD0.0652016-03-31
201511.79%USD 7.508USD3.5122015-12-30
USD3.02662015-12-02
USD0.1482015-11-03
USD0.0762015-09-30
USD0.29642015-08-04
USD0.0822015-06-30
USD0.27672015-05-04
USD0.092015-03-31
20145.73%USD 3.647USD0.13352014-12-30
USD1.33592014-12-16
USD1.17592014-12-03
USD0.1732014-11-04
USD0.0742014-09-30
USD0.3062014-08-04
USD0.0872014-06-30
USD0.2672014-05-02
USD0.0952014-03-31
20132.36%USD 1.503USD0.21012013-12-17
USD0.34632013-12-05
USD0.1692013-11-04
USD0.0792013-09-30
USD0.3162013-08-02
USD0.0962013-06-28
USD0.19752013-05-02
USD0.0892013-03-28
20122.98%USD 1.897USD0.3452012-12-18
USD0.72012-12-06
USD0.1552012-11-02
USD0.0662012-09-28
USD0.2892012-08-02
USD0.0732012-06-29
USD0.2052012-05-02
USD0.0642012-04-03
20112.95%USD 1.882USD1.65412011-12-16
USD0.2282011-12-07
20103.15%USD 2.006USD1.78442010-12-20
USD0.2222010-12-06
20092.88%USD 1.832USD1.5822009-12-22
USD0.252009-12-04
20080.78%USD 0.5USD0.2922008-12-22
USD0.2082008-12-02
20071.99%USD 1.267USD0.8142007-12-20
USD0.45312007-12-04
20061.10%USD 0.702USD0.4772006-12-18
USD0.2252006-12-04
20051.22%USD 0.776USD0.652005-12-16
USD0.1262005-12-02
20041.24%USD 0.788USD0.19532004-12-10
USD0.5932004-12-03
20030.83%USD 0.532USD0.10472003-12-12
USD0.4272003-12-03
20020.11%USD 0.069USD0.0692002-12-16