EATON VANCE MULTI-STRATEGY ALL MARKET FUND EATON VANCE MULTI-STRATEGY ALL MARKET FUND CLASS C(ECAMX) USD 9.65
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.95%USD 0.091USD0.045082023-02-28
USD0.046152023-01-31
20224.34%USD 0.419USD0.045312022-12-30
USD0.04342022-11-30
USD0.042022-10-31
USD0.041512022-09-30
USD0.03752022-08-31
USD0.033712022-07-29
USD0.03382022-06-30
USD0.03122022-05-31
USD0.029122022-04-29
USD0.026252022-03-31
USD0.028592022-02-28
USD0.028232022-01-31
20213.42%USD 0.33USD0.030182021-12-31
USD0.026082021-11-30
USD0.026562021-10-29
USD0.028152021-09-30
USD0.027952021-08-31
USD0.027442021-07-30
USD0.027862021-06-30
USD0.02712021-05-28
USD0.026392021-04-30
USD0.024712021-03-31
USD0.028072021-02-26
USD0.029332021-01-29
20203.84%USD 0.371USD0.03222020-12-31
USD0.027962020-11-30
USD0.027832020-10-30
USD0.028982020-09-30
USD0.029662020-08-31
USD0.027962020-07-31
USD0.031152020-06-30
USD0.028882020-05-29
USD0.029042020-04-30
USD0.032832020-03-31
USD0.035912020-02-28
USD0.038432020-01-31
20194.48%USD 0.432USD0.032542019-12-31
USD0.0192019-12-10
USD0.032992019-11-29
USD0.032412019-10-31
USD0.02772019-09-27
USD0.03672019-08-29
USD0.04492019-07-30
USD0.03232019-06-27
USD0.03792019-05-30
USD0.03922019-04-29
USD0.03812019-03-28
USD0.03292019-02-27
USD0.02552019-01-30
20181.38%USD 0.134USD0.0442018-12-28
USD0.02372018-11-29
USD0.03642018-09-27
USD0.01252018-06-28
USD0.0172018-03-28
20172.12%USD 0.204USD0.17322017-12-28
USD0.00622017-09-28
USD0.01922017-06-29
USD0.00552017-03-30
20162.26%USD 0.218USD0.09232016-12-29
USD0.00052016-09-29
USD0.03812016-06-29
USD0.08682016-03-30
20152.78%USD 0.268USD0.13762015-12-30
USD0.02612015-09-29
USD0.04472015-06-29
USD0.05952015-03-30
20142.54%USD 0.245USD0.10472014-12-30
USD0.03332014-09-29
USD0.05962014-06-27
USD0.04722014-03-28
20132.26%USD 0.218USD0.06832013-12-30
USD0.04082013-09-27
USD0.05272013-06-27
USD0.0182013-03-28
USD0.0182013-02-28
USD0.022013-01-31
20122.72%USD 0.263USD0.0232012-12-31
USD0.01172012-12-27
USD0.0212012-11-30
USD0.0212012-10-31
USD0.0222012-09-28
USD0.0232012-08-31
USD0.0242012-07-31
USD0.0252012-06-29
USD0.0252012-05-31
USD0.0222012-04-30
USD0.0232012-03-30
USD0.0222012-02-29