INVESCO GLOBAL LOW VOLATILITY EQUITY YIELD FUND CLASS A(GTNDX) USD 12.46
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.93%USD 0.241USD0.08252023-03-23
USD0.07952023-02-16
USD0.07912023-01-19
20227.34%USD 0.914USD0.07912022-12-14
USD0.07862022-11-17
USD0.07832022-10-20
USD0.0782022-09-22
USD0.07792022-08-18
USD0.07772022-07-21
USD0.07752022-06-23
USD0.07362022-05-19
USD0.07342022-04-21
USD0.07342022-03-24
USD0.07332022-02-17
USD0.07332022-01-20
20213.12%USD 0.389USD0.07312021-12-14
USD0.0732021-11-18
USD0.07272021-10-21
USD0.07272021-09-23
USD0.04862021-06-24
USD0.04862021-03-25
20202.08%USD 0.26USD0.04812020-12-11
USD0.05242020-09-17
USD0.07192020-06-18
USD0.08722020-03-19
20192.33%USD 0.29USD0.08722019-12-13
USD0.08722019-09-19
USD0.06282019-06-20
USD0.05292019-03-21
20181.89%USD 0.235USD0.05292018-12-14
USD0.05252018-09-13
USD0.05252018-06-21
USD0.07712018-03-22
20173.30%USD 0.411USD0.10272017-12-13
USD0.10272017-09-14
USD0.10272017-06-15
USD0.10272017-03-16
20163.61%USD 0.45USD0.11242016-12-13
USD0.11242016-09-15
USD0.11242016-06-16
USD0.11242016-03-17
20154.23%USD 0.527USD0.1322015-12-11
USD0.13182015-09-17
USD0.13182015-06-18
USD0.13182015-03-19
20144.23%USD 0.528USD0.13182014-12-12
USD0.13192014-09-18
USD0.13192014-06-19
USD0.13192014-03-20
20132.12%USD 0.264USD0.13192013-12-13
USD0.13192013-09-19
20122.15%USD 0.267USD0.26732012-12-07
20111.11%USD 0.139USD0.13892011-12-09
20101.12%USD 0.139USD0.13942010-12-10
20091.48%USD 0.185USD0.18452009-12-11
20084.77%USD 0.595USD0.59472008-12-12
200720.15%USD 2.51USD2.51012007-12-14
200616.01%USD 1.995USD1.99482006-12-15
200512.77%USD 1.592USD1.59152005-12-16
20046.46%USD 0.805USD0.80462004-12-17
20010.47%USD 0.058USD0.0582001-12-14