MAINSTAY EPOCH GLOBAL EQUITY YIELD FUND CLASS I(EPSYX) USD 19.84
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.55%USD 0.506USD0.08012022-12-12
USD0.08412022-09-30
USD0.17662022-06-30
USD0.16512022-03-31
20212.78%USD 0.552USD0.062772021-12-07
USD0.09482021-09-30
USD0.19712021-06-30
USD0.19762021-03-31
20202.52%USD 0.499USD0.087282020-12-08
USD0.06662020-09-30
USD0.12032020-06-30
USD0.2252020-03-31
20194.89%USD 0.97USD0.42572019-12-10
USD0.1112019-09-30
USD0.24122019-06-28
USD0.19182019-03-29
20188.26%USD 1.639USD1.121142018-12-11
USD0.10012018-09-28
USD0.25012018-06-29
USD0.16742018-03-29
20172.73%USD 0.541USD0.113062017-12-13
USD0.09022017-09-29
USD0.21712017-06-30
USD0.12112017-03-31
20162.83%USD 0.561USD0.112942016-12-08
USD0.10442016-09-30
USD0.20712016-06-30
USD0.13692016-03-31
20158.25%USD 1.637USD1.125612015-12-09
USD0.1332015-09-30
USD0.2492015-06-30
USD0.12932015-03-31
20146.40%USD 1.27USD0.746832014-12-10
USD0.11932014-09-29
USD0.26412014-06-27
USD0.13982014-03-28
20133.16%USD 0.627USD0.152252013-12-09
USD0.09452013-09-27
USD0.21272013-06-27
USD0.16772013-03-28
20122.56%USD 0.507USD0.099182012-12-11
USD0.11072012-09-27
USD0.20012012-06-28
USD0.09752012-03-29
20112.62%USD 0.519USD0.096782011-12-07
USD0.10062011-09-29
USD0.22022011-06-29
USD0.10152011-03-30
20102.43%USD 0.483USD0.067522010-12-13
USD0.09312010-09-29
USD0.17252010-06-29
USD0.0182010-04-22
USD0.13142010-03-30
20091.89%USD 0.375USD0.085212009-12-23
USD0.0972009-09-28
USD0.1772009-06-26
USD0.0162009-03-27
20082.85%USD 0.566USD0.0482008-11-25
USD0.0222008-10-29
USD0.0592008-09-26
USD0.0352008-08-27
USD0.022008-07-29
USD0.0732008-06-26
USD0.1162008-05-28
USD0.1012008-04-28
USD0.0552008-03-27
USD0.0352008-02-27
USD0.0022008-01-29
20073.87%USD 0.768USD0.1042007-12-27
USD0.0642007-11-28
USD0.0232007-10-29
USD0.0732007-09-26
USD0.0682007-08-29
USD0.0272007-07-27
USD0.1072007-06-27
USD0.062007-05-29
USD0.1012007-04-26
USD0.0872007-03-28
USD0.0422007-02-26
USD0.0122007-01-29
20063.16%USD 0.626USD0.0552006-12-27
USD0.0252006-11-28
USD0.0342006-10-27
USD0.0642006-09-27
USD0.0552006-08-31
USD0.0392006-07-28
USD0.0692006-06-28
USD0.0472006-05-26
USD0.0742006-04-28
USD0.1642006-03-28