HENDERSON GLOBAL EQUITY INCOME FUND CLASS C(HFQCX) USD 6.18
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.30%USD 0.451USD0.087472022-12-22
USD0.0962022-09-30
USD0.18182022-06-30
USD0.08592022-03-31
20217.23%USD 0.447USD0.087612021-12-22
USD0.09732021-09-30
USD0.17242021-06-30
USD0.08982021-03-31
20207.19%USD 0.445USD0.092472020-12-17
USD0.09852020-09-30
USD0.16722020-06-30
USD0.08642020-03-31
20197.08%USD 0.437USD0.083432019-12-17
USD0.09482019-09-30
USD0.17172019-06-28
USD0.08742019-03-29
20186.98%USD 0.431USD0.082792018-12-18
USD0.09542018-09-28
USD0.16962018-06-29
USD0.08372018-03-29
20176.93%USD 0.428USD0.083652017-12-19
USD0.09312017-09-29
USD0.17032017-06-27
USD0.0812017-03-28
20166.94%USD 0.429USD0.0832016-12-27
USD0.0952016-09-27
USD0.1692016-06-27
USD0.0822016-03-28
20156.83%USD 0.422USD0.0262015-12-30
USD0.0412015-11-27
USD0.0142015-10-29
USD0.0312015-09-29
USD0.0432015-08-28
USD0.022015-07-30
USD0.0422015-06-29
USD0.0652015-05-28
USD0.062015-04-29
USD0.042015-03-30
USD0.0252015-02-26
USD0.0152015-01-29
20146.81%USD 0.421USD0.0252014-12-30
USD0.0412014-11-26
USD0.0142014-10-30
USD0.0312014-09-29
USD0.0432014-08-28
USD0.022014-07-30
USD0.0422014-06-27
USD0.0652014-05-29
USD0.062014-04-29
USD0.042014-03-28
USD0.0252014-02-27
USD0.0152014-01-30
20136.97%USD 0.431USD0.0332013-12-30
USD0.042013-11-27
USD0.0142013-10-30
USD0.0312013-09-27
USD0.0432013-08-29
USD0.022013-07-30
USD0.0432013-06-27
USD0.0652013-05-30
USD0.062013-04-29
USD0.0412013-03-27
USD0.0242013-02-27
USD0.0172013-01-30
20127.02%USD 0.434USD0.0342012-12-28
USD0.0412012-11-29
USD0.0142012-10-31
USD0.0272012-09-27
USD0.0482012-08-30
USD0.0212012-07-30
USD0.0442012-06-28
USD0.0652012-05-30
USD0.062012-04-27
USD0.042012-03-29
USD0.0232012-02-28
USD0.0172012-01-30
20116.91%USD 0.427USD0.0282011-12-29
USD0.042011-11-29
USD0.0152011-10-28
USD0.0262011-09-29
USD0.0492011-08-30
USD0.0212011-07-28
USD0.0432011-06-29
USD0.0652011-05-27
USD0.062011-04-28
USD0.0382011-03-30
USD0.0242011-02-25
USD0.0182011-01-28
20107.02%USD 0.434USD0.0522010-12-30
USD0.0252010-11-29
USD0.0262010-10-28
USD0.0312010-09-29
USD0.0552010-08-30
USD0.0362010-07-29
USD0.0462010-06-29
USD0.0762010-05-27
USD0.042010-03-30
USD0.0262010-02-25
USD0.0212010-01-28
20098.19%USD 0.506USD0.0212009-12-30
USD0.0262009-11-27
USD0.0252009-10-29
USD0.0352009-09-29
USD0.0562009-08-28
USD0.0382009-07-30
USD0.0672009-06-29
USD0.0832009-05-28
USD0.072009-04-29
USD0.0362009-03-30
USD0.0232009-02-26
USD0.0262009-01-29
20089.79%USD 0.605USD0.0262008-12-30
USD0.0282008-11-26
USD0.0252008-10-30
USD0.0252008-09-29
USD0.0472008-08-28
USD0.0412008-07-30
USD0.0662008-06-27
USD0.0932008-05-29
USD0.0792008-04-29
USD0.0972008-03-31
USD0.0332008-02-29
USD0.0452008-01-31
200710.63%USD 0.657USD0.0262007-12-28
USD0.0252007-11-28
USD0.0592007-10-31
USD0.0512007-09-28
USD0.0962007-08-30
USD0.0462007-07-30
USD0.1062007-06-28
USD0.2482007-05-30