MFS MODERATE ALLOCATION FUND 529A(EAMDX) USD 22.36
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.08%USD 0.018USD0.017952022-03-24
20215.31%USD 1.187USD1.091272021-12-28
USD0.043462021-09-23
USD0.029422021-06-24
USD0.023162021-03-25
20203.35%USD 0.749USD0.638882020-12-29
USD0.03722020-09-24
USD0.038932020-06-25
USD0.034232020-03-26
20193.73%USD 0.835USD0.705792019-12-26
USD0.05262019-09-26
USD0.043772019-06-26
USD0.032932019-03-27
20184.36%USD 0.974USD0.842092018-12-27
USD0.059152018-09-26
USD0.046162018-06-27
USD0.026992018-03-27
20173.53%USD 0.789USD0.679882017-12-27
USD0.044272017-09-27
USD0.033522017-06-28
USD0.031762017-03-29
20161.93%USD 0.432USD0.350062016-12-28
USD0.044462016-09-27
USD0.020852016-06-28
USD0.01642016-03-29
20154.03%USD 0.901USD0.806692015-12-29
USD0.035072015-09-29
USD0.034472015-06-26
USD0.024962015-03-27
20142.45%USD 0.548USD0.229192014-12-30
USD0.1842014-12-29
USD0.043042014-09-26
USD0.053882014-06-27
USD0.03762014-03-28
20131.16%USD 0.26USD0.138382013-12-30
USD0.037232013-09-26
USD0.049862013-06-27
USD0.034642013-03-28
20121.33%USD 0.298USD0.149282012-12-28
USD0.076662012-09-26
USD0.064562012-06-27
USD0.003552012-03-23
USD0.0042012-03-22
20111.51%USD 0.338USD0.162642011-12-28
USD0.092042011-09-28
USD0.046652011-06-24
USD0.036932011-03-25
20101.24%USD 0.277USD0.277252010-12-29
20091.47%USD 0.329USD0.329482009-12-29
20083.39%USD 0.757USD0.421072008-12-29
USD0.3362008-12-26
20074.64%USD 1.037USD0.729892007-12-31
USD0.3072007-12-28
20063.50%USD 0.782USD0.472172006-12-28
USD0.312006-12-27
20052.77%USD 0.62USD0.335792005-12-30
USD0.2842005-12-29
20040.83%USD 0.185USD0.185112004-12-31
20030.53%USD 0.118USD0.11842003-12-31