EATON VANCE BALANCED FUND EATON VANCE BALANCED FUND CLASS C(ECIFX) USD 9.64
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.21%USD 0.02USD0.022023-03-09
20224.68%USD 0.452USD0.42142022-12-09
USD0.01542022-09-09
USD0.00982022-06-09
USD0.00492022-03-09
20218.92%USD 0.86USD0.85092021-12-09
USD0.00272021-06-09
USD0.00622021-03-09
20202.32%USD 0.223USD0.07342020-12-10
USD0.00912020-09-09
USD0.10482020-08-18
USD0.01632020-06-09
USD0.01972020-03-10
20193.13%USD 0.302USD0.21132019-12-17
USD0.01512019-09-10
USD0.04472019-08-08
USD0.01522019-06-11
USD0.01532019-03-11
20184.86%USD 0.468USD0.38212018-12-11
USD0.01972018-09-11
USD0.03482018-08-09
USD0.0172018-06-11
USD0.01472018-03-09
20173.73%USD 0.359USD0.26542017-12-12
USD0.01672017-09-11
USD0.03692017-07-26
USD0.022017-06-09
USD0.02022017-03-09
20161.02%USD 0.098USD0.04392016-12-13
USD0.01372016-09-09
USD0.01642016-06-09
USD0.02392016-03-09
20154.60%USD 0.444USD0.14492015-12-15
USD0.01572015-09-09
USD0.02342015-06-09
USD0.24822015-05-21
USD0.01152015-03-10
20147.56%USD 0.729USD0.53412014-12-16
USD0.16652014-09-09
USD0.00762014-06-10
USD0.02052014-03-11
20136.41%USD 0.618USD0.58462013-12-19
USD0.00592013-09-10
USD0.01132013-06-11
USD0.01592013-03-11
20120.77%USD 0.074USD0.0142012-12-19
USD0.01292012-09-11
USD0.01682012-06-11
USD0.03012012-03-09
20110.70%USD 0.067USD0.01392011-12-28
USD0.01882011-09-09
USD0.01962011-06-09
USD0.01512011-03-09
20100.69%USD 0.067USD0.01272010-12-29
USD0.01132010-09-09
USD0.01552010-06-09
USD0.0172010-04-30
USD0.012010-03-09
20090.51%USD 0.049USD0.00462009-12-30
USD0.00482009-09-09
USD0.01842009-06-09
USD0.02142009-03-10
20082.22%USD 0.214USD0.00472008-12-30
USD0.01012008-09-09
USD0.04912008-06-10
USD0.15012008-03-11
20078.13%USD 0.784USD0.46722007-12-24
USD0.2212007-09-11
USD0.06472007-06-11
USD0.03082007-03-09
20062.43%USD 0.234USD0.18792006-12-27
USD0.01632006-09-11
USD0.01792006-06-09
USD0.0122006-03-09
20050.16%USD 0.015USD0.00992005-12-09
USD0.00542005-06-09
20040.28%USD 0.027USD0.0022004-12-09
USD0.01392004-09-14
USD0.00562004-06-09
USD0.00562004-03-09
20030.03%USD 0.003USD0.00282003-12-09
20020.20%USD 0.02USD0.00842002-05-09
USD0.01112002-02-12
20010.93%USD 0.09USD0.00562001-11-16
USD0.00562001-08-16
USD0.02232001-05-16
USD0.0342001-03-16
USD0.02232001-02-14
200010.07%USD 0.971USD0.82632000-12-13
USD0.01672000-11-16
USD0.01952000-08-16
USD0.02232000-05-17
USD0.05842000-03-01
USD0.027842000-02-29