MFS CONSERVATIVE ALLOCATION FUND 529A(ECLAX) USD 18.6
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.15%USD 0.027USD0.027152022-03-24
20213.58%USD 0.666USD0.536712021-12-28
USD0.053122021-09-23
USD0.040452021-06-24
USD0.035462021-03-25
20202.62%USD 0.487USD0.337742020-12-29
USD0.048342020-09-24
USD0.052812020-06-25
USD0.048122020-03-26
20192.97%USD 0.552USD0.379012019-12-26
USD0.06522019-09-26
USD0.060442019-06-26
USD0.047562019-03-27
20183.76%USD 0.699USD0.530932018-12-27
USD0.069292018-09-26
USD0.059482018-06-27
USD0.0392018-03-27
20173.63%USD 0.675USD0.555212017-12-27
USD0.054552017-09-27
USD0.028722017-06-28
USD0.03662017-03-29
20161.96%USD 0.364USD0.248282016-12-28
USD0.052832016-09-27
USD0.029942016-06-28
USD0.03342016-03-29
20151.96%USD 0.364USD0.248922015-12-29
USD0.042412015-09-29
USD0.041392015-06-26
USD0.031182015-03-27
20142.48%USD 0.462USD0.17482014-12-30
USD0.1292014-12-29
USD0.051552014-09-26
USD0.05982014-06-27
USD0.04692014-03-28
20131.44%USD 0.269USD0.116552013-12-30
USD0.047722013-09-26
USD0.057182013-06-27
USD0.047222013-03-28
20121.57%USD 0.291USD0.113872012-12-28
USD0.073332012-09-26
USD0.078622012-06-27
USD0.025322012-03-23
20111.90%USD 0.354USD0.165052011-12-28
USD0.091562011-09-28
USD0.052072011-06-24
USD0.045112011-03-25
20101.61%USD 0.299USD0.298532010-12-29
20091.81%USD 0.338USD0.337532009-12-29
20084.09%USD 0.761USD0.417592008-12-29
USD0.3432008-12-26
20075.00%USD 0.929USD0.594452007-12-31
USD0.3352007-12-28
20064.41%USD 0.821USD0.48412006-12-28
USD0.3372006-12-27
20053.05%USD 0.567USD0.300132005-12-30
USD0.2672005-12-29
20041.05%USD 0.195USD0.194572004-12-31
20030.86%USD 0.16USD0.160042003-12-31