DREYFUS EQUITY INCOME FUND CLASS C(DQICX) USD 23.62
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.38%USD 0.089USD0.0562023-04-03
USD0.02142023-03-01
USD0.01182023-02-01
20225.30%USD 1.253USD0.9692022-12-09
USD0.03032022-12-01
USD0.01322022-11-01
USD0.05082022-10-03
USD0.02052022-09-01
USD0.00872022-08-01
USD0.07112022-07-01
USD0.01112022-06-01
USD0.00562022-05-02
USD0.04852022-04-01
USD0.00712022-03-01
USD0.01712022-02-01
20211.95%USD 0.46USD0.27082021-12-10
USD0.00562021-12-01
USD0.01542021-11-01
USD0.03432021-10-01
USD0.00422021-09-01
USD0.02342021-08-02
USD0.02732021-07-01
USD0.00592021-06-01
USD0.00972021-05-03
USD0.03892021-04-01
USD0.01162021-03-01
USD0.01262021-02-01
20201.38%USD 0.327USD0.05862020-12-10
USD0.01042020-12-01
USD0.0222020-11-02
USD0.03822020-09-30
USD0.01392020-08-31
USD0.02072020-07-31
USD0.03812020-06-30
USD0.01932020-05-29
USD0.02032020-04-30
USD0.04642020-04-01
USD0.02622020-03-02
USD0.01252020-02-03
20191.45%USD 0.343USD0.0642019-12-04
USD0.02882019-12-02
USD0.01662019-11-01
USD0.04992019-10-01
USD0.03012019-09-03
USD0.0062019-08-01
USD0.03962019-07-01
USD0.02882019-06-03
USD0.00422019-05-01
USD0.04432019-04-01
USD0.02112019-03-01
USD0.00972019-02-01
20183.12%USD 0.737USD0.48082018-12-06
USD0.04112018-12-03
USD0.00342018-11-01
USD0.0342018-10-01
USD0.03222018-09-04
USD0.00232018-08-01
USD0.03212018-07-02
USD0.03192018-06-01
USD0.00212018-05-01
USD0.03272018-04-02
USD0.02092018-03-01
USD0.02322018-02-01
20176.04%USD 1.426USD1.16172017-12-12
USD0.04342017-12-01
USD0.00052017-11-01
USD0.03282017-10-02
USD0.0382017-09-01
USD0.0032017-08-01
USD0.04832017-07-03
USD0.01922017-06-01
USD0.0082017-05-01
USD0.0212017-04-03
USD0.02752017-03-01
USD0.02242017-02-01
20161.98%USD 0.469USD0.12562016-12-12
USD0.0342016-12-01
USD0.0142016-11-01
USD0.0462016-10-03
USD0.0322016-09-01
USD0.052016-07-01
USD0.0462016-06-01
USD0.0092016-05-02
USD0.0452016-04-01
USD0.0582016-03-01
USD0.0092016-02-01
20155.88%USD 1.388USD1.12242015-12-14
USD0.0472015-12-01
USD0.0062015-11-02
USD0.0392015-10-01
USD0.0312015-09-01
USD0.0042015-08-03
USD0.0392015-07-01
USD0.0062015-06-01
USD0.0062015-05-01
USD0.0362015-04-01
USD0.0522015-03-02
20143.47%USD 0.819USD0.53452014-12-16
USD0.0432014-12-01
USD0.0472014-10-01
USD0.0392014-09-02
USD0.0332014-07-01
USD0.0472014-06-02
USD0.0352014-04-01
USD0.042014-03-03
20132.08%USD 0.492USD0.01492013-12-31
USD0.20182013-12-17
USD0.042013-12-02
USD0.0052013-11-01
USD0.032013-10-01
USD0.042013-09-03
USD0.0032013-08-01
USD0.0332013-07-01
USD0.0392013-06-03
USD0.0062013-05-01
USD0.0272013-04-01
USD0.0442013-03-01
USD0.0082013-02-01
20122.22%USD 0.524USD0.20632012-12-18
USD0.0872012-12-03
USD0.0152012-11-01
USD0.032012-10-01
USD0.0372012-09-04
USD0.0152012-08-01
USD0.0232012-07-02
USD0.0412012-06-01
USD0.0122012-05-01
USD0.0212012-04-02
USD0.0262012-03-01
USD0.0112012-02-01
20111.41%USD 0.334USD0.13332011-12-15
USD0.0252011-12-01
USD0.0012011-11-01
USD0.032011-10-03
USD0.0322011-09-01
USD0.0082011-08-01
USD0.03652011-07-01
USD0.03882011-06-01
USD0.00112011-05-02
USD0.00852011-04-01
USD0.022011-03-01
20100.47%USD 0.11USD0.0272010-12-30
USD0.0112010-12-01
USD0.00242010-10-01
USD0.01792010-09-01
USD0.01222010-07-01
USD0.00712010-06-01
USD0.01382010-04-01
USD0.01852010-03-01
20090.31%USD 0.073USD0.0122009-12-31
USD0.00642009-12-01
USD0.00612009-10-01
USD0.01682009-09-01
USD0.00862009-07-01
USD0.01432009-06-01
USD0.00842009-04-01
USD0.00062009-03-02
20080.66%USD 0.157USD0.042008-12-31
USD0.01752008-12-01
USD0.01142008-10-01
USD0.0032008-09-02
USD0.00282008-08-29
USD0.02412008-07-01
USD0.0222008-06-02
USD0.02242008-04-01
USD0.01382008-03-03
20071.25%USD 0.295USD0.23092007-12-31
USD0.01452007-12-03
USD0.00672007-11-01
USD0.00712007-10-01
USD0.00492007-09-04
USD0.00712007-07-02
USD0.00352007-06-01
USD0.00772007-04-02
USD0.01222007-03-01
20060.58%USD 0.138USD0.09592006-12-29
USD0.0172006-12-01
USD0.0172006-09-01
USD0.0082006-08-01