HENDERSON GLOBAL EQUITY INCOME FUND CLASS A(HFQAX) USD 6.29
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.64%USD 0.48USD0.096452022-12-22
USD0.10652022-09-30
USD0.18252022-06-30
USD0.09482022-03-31
20217.63%USD 0.48USD0.09642021-12-22
USD0.10652021-09-30
USD0.18252021-06-30
USD0.09482021-03-31
20207.63%USD 0.48USD0.10242020-12-17
USD0.10652020-09-30
USD0.17652020-06-30
USD0.09482020-03-31
20197.63%USD 0.48USD0.096362019-12-17
USD0.10652019-09-30
USD0.18252019-06-28
USD0.09482019-03-29
20187.63%USD 0.48USD0.096362018-12-18
USD0.10652018-09-28
USD0.18252018-06-29
USD0.09482018-03-29
20177.64%USD 0.48USD0.096362017-12-19
USD0.10652017-09-29
USD0.18252017-06-27
USD0.0952017-03-28
20167.66%USD 0.482USD0.0962016-12-27
USD0.1082016-09-27
USD0.1832016-06-27
USD0.0952016-03-28
20157.66%USD 0.482USD0.0312015-12-30
USD0.0452015-11-27
USD0.0192015-10-29
USD0.0362015-09-29
USD0.0482015-08-28
USD0.0252015-07-30
USD0.0482015-06-29
USD0.072015-05-28
USD0.0652015-04-29
USD0.0452015-03-30
USD0.032015-02-26
USD0.022015-01-29
20147.66%USD 0.482USD0.0312014-12-30
USD0.0452014-11-26
USD0.0192014-10-30
USD0.0362014-09-29
USD0.0482014-08-28
USD0.0252014-07-30
USD0.0482014-06-27
USD0.072014-05-29
USD0.0652014-04-29
USD0.0452014-03-28
USD0.032014-02-27
USD0.022014-01-30
20137.77%USD 0.489USD0.0382013-12-30
USD0.0452013-11-27
USD0.0192013-10-30
USD0.0362013-09-27
USD0.0482013-08-29
USD0.0252013-07-30
USD0.0482013-06-27
USD0.072013-05-30
USD0.0652013-04-29
USD0.0452013-03-27
USD0.0282013-02-27
USD0.0222013-01-30
20127.77%USD 0.489USD0.0382012-12-28
USD0.0452012-11-29
USD0.0192012-10-31
USD0.0312012-09-27
USD0.0532012-08-30
USD0.0252012-07-30
USD0.0482012-06-28
USD0.072012-05-30
USD0.0652012-04-27
USD0.0452012-03-29
USD0.0282012-02-28
USD0.0222012-01-30
20117.65%USD 0.481USD0.0322011-12-29
USD0.0452011-11-29
USD0.0192011-10-28
USD0.032011-09-29
USD0.0542011-08-30
USD0.0252011-07-28
USD0.0482011-06-29
USD0.072011-05-27
USD0.0652011-04-28
USD0.0432011-03-30
USD0.0282011-02-25
USD0.0222011-01-28
20107.66%USD 0.482USD0.0562010-12-30
USD0.032010-11-29
USD0.032010-10-28
USD0.0362010-09-29
USD0.062010-08-30
USD0.042010-07-29
USD0.052010-06-29
USD0.082010-05-27
USD0.0452010-03-30
USD0.032010-02-25
USD0.0252010-01-28
20098.84%USD 0.556USD0.0252009-12-30
USD0.032009-11-27
USD0.032009-10-29
USD0.042009-09-29
USD0.062009-08-28
USD0.0422009-07-30
USD0.0712009-06-29
USD0.0872009-05-28
USD0.0742009-04-29
USD0.042009-03-30
USD0.0272009-02-26
USD0.032009-01-29
200810.65%USD 0.67USD0.032008-12-30
USD0.0322008-11-26
USD0.032008-10-30
USD0.0312008-09-29
USD0.0522008-08-28
USD0.0472008-07-30
USD0.0712008-06-27
USD0.0992008-05-29
USD0.0852008-04-29
USD0.1032008-03-31
USD0.0392008-02-29
USD0.0512008-01-31
200713.10%USD 0.824USD0.0322007-12-28
USD0.0312007-11-28
USD0.0652007-10-31
USD0.0572007-09-28
USD0.1022007-08-30
USD0.0532007-07-30
USD0.1112007-07-27
USD0.1112007-06-28
USD0.2622007-05-30