MFS CONSERVATIVE ALLOCATION FUND 529C(ECACX) USD 18.2
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20212.90%USD 0.528USD0.495312021-12-28
USD0.020882021-09-23
USD0.006522021-06-24
USD0.005582021-03-25
20201.95%USD 0.355USD0.294662020-12-29
USD0.015432020-09-24
USD0.026252020-06-25
USD0.018622020-03-26
20192.40%USD 0.437USD0.346852019-12-26
USD0.0342019-09-26
USD0.033882019-06-26
USD0.022642019-03-27
20183.20%USD 0.583USD0.498972018-12-27
USD0.041722018-09-26
USD0.029042018-06-27
USD0.013192018-03-27
20173.09%USD 0.562USD0.522332017-12-27
USD0.026042017-09-27
USD0.001062017-06-28
USD0.012252017-03-29
20161.41%USD 0.257USD0.217612016-12-28
USD0.024952016-09-27
USD0.003322016-06-28
USD0.011232016-03-29
20151.49%USD 0.271USD0.236092015-12-29
USD0.014962015-09-29
USD0.014262015-06-26
USD0.0062015-03-27
20141.79%USD 0.325USD0.145122014-12-30
USD0.0992014-12-29
USD0.02462014-09-26
USD0.033312014-06-27
USD0.02322014-03-28
20130.92%USD 0.167USD0.08792013-12-30
USD0.022212013-09-26
USD0.031582013-06-27
USD0.024892013-03-28
20121.08%USD 0.196USD0.087422012-12-28
USD0.049362012-09-26
USD0.054332012-06-27
USD0.005032012-03-23
20111.43%USD 0.261USD0.141042011-12-28
USD0.06652011-09-28
USD0.029012011-06-24
USD0.024492011-03-25
20101.20%USD 0.218USD0.217542010-12-29
20091.45%USD 0.265USD0.264662009-12-29
20083.42%USD 0.623USD0.348622008-12-29
USD0.2742008-12-26
20074.29%USD 0.781USD0.520432007-12-31
USD0.2612007-12-28
20063.73%USD 0.678USD0.412352006-12-28
USD0.2662006-12-27
20052.47%USD 0.449USD0.240672005-12-30
USD0.2082005-12-29
20040.73%USD 0.133USD0.133052004-12-31
20030.70%USD 0.127USD0.126782003-12-31