MFS VALUE FUND 529A(EAVLX) USD 53.64
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.34%USD 0.184USD0.184232022-03-24
20213.13%USD 1.68USD1.210332021-12-16
USD0.163672021-09-23
USD0.159092021-06-24
USD0.146922021-03-25
20202.01%USD 1.079USD0.594822020-12-17
USD0.155992020-09-24
USD0.161352020-06-25
USD0.167112020-03-26
20192.45%USD 1.312USD0.704862019-12-19
USD0.16012019-09-26
USD0.315382019-06-26
USD0.132082019-03-27
20182.20%USD 1.181USD0.753162018-12-20
USD0.119442018-09-26
USD0.192962018-06-27
USD0.115362018-03-27
20173.27%USD 1.752USD1.383012017-12-21
USD0.114752017-09-27
USD0.131622017-06-28
USD0.122122017-03-29
20162.35%USD 1.261USD0.89262016-12-13
USD0.106982016-09-27
USD0.149882016-06-28
USD0.111812016-03-29
20153.81%USD 2.046USD1.398822015-12-11
USD0.1642015-12-10
USD0.131192015-09-29
USD0.146522015-06-26
USD0.20512015-03-27
20143.33%USD 1.786USD1.078252014-12-12
USD0.1572014-12-11
USD0.170322014-09-26
USD0.146362014-06-27
USD0.23432014-03-28
20132.27%USD 1.215USD0.726482013-12-11
USD0.1462013-12-10
USD0.107222013-09-26
USD0.131822013-06-27
USD0.103452013-03-28
20121.41%USD 0.757USD0.331312012-12-12
USD0.1462012-12-11
USD0.090012012-09-26
USD0.111732012-06-27
USD0.077832012-03-23
20110.68%USD 0.365USD0.12862011-12-09
USD0.081892011-09-28
USD0.092182011-06-24
USD0.061832011-03-25
20100.53%USD 0.283USD0.090992010-12-10
USD0.055272010-09-29
USD0.07962010-06-25
USD0.057432010-03-26
20090.56%USD 0.302USD0.093332009-12-11
USD0.057062009-09-29
USD0.083842009-06-26
USD0.067452009-03-27
20080.54%USD 0.288USD0.107182008-12-12
USD0.070972008-09-26
USD0.078332008-06-27
USD0.031652008-03-28
20074.30%USD 2.309USD2.031332007-12-12
USD0.0912007-12-11
USD0.052862007-09-27
USD0.07212007-06-28
USD0.061392007-03-29
20062.12%USD 1.138USD0.864772006-12-08
USD0.0692006-12-07
USD0.12006-09-27
USD0.0652006-06-28
USD0.0392006-03-29
20050.44%USD 0.236USD0.0752005-12-02
USD0.0562005-09-28
USD0.0582005-06-28
USD0.0472005-03-29
20040.39%USD 0.21USD0.062004-12-02
USD0.0512004-09-28
USD0.0042004-08-31
USD0.0542004-06-28
USD0.0412004-03-29
20030.36%USD 0.192USD0.0422003-12-02
USD0.0442003-09-26
USD0.0512003-06-26
USD0.0552003-03-26