IVY BALANCED FUND CLASS Y(IBNYX) USD 18.96
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.34%USD 0.064USD0.0642023-03-22
202225.30%USD 4.796USD4.6942022-12-15
USD0.0532022-09-15
USD0.0282022-06-07
USD0.0212022-03-10
202116.61%USD 3.149USD3.08872021-12-16
USD0.0252021-09-16
USD0.0152021-06-10
USD0.022021-03-11
20209.31%USD 1.765USD1.63472020-12-10
USD0.062020-09-10
USD0.042020-06-11
USD0.032020-03-12
20199.93%USD 1.883USD1.69252019-12-12
USD0.082019-09-12
USD0.082019-06-13
USD0.032019-03-14
201813.51%USD 2.562USD2.34932018-12-13
USD0.12018-09-13
USD0.0822018-06-14
USD0.0312018-03-15
20176.07%USD 1.151USD0.87772017-12-14
USD0.12017-09-14
USD0.1332017-06-15
USD0.042017-03-16
20162.86%USD 0.543USD0.45062016-12-08
USD0.0472016-09-15
USD0.0452016-06-16
20157.69%USD 1.458USD1.3482015-12-10
USD0.0452015-09-10
USD0.0452015-06-11
USD0.022015-03-12
20144.73%USD 0.897USD0.8352014-12-11
USD0.0242014-09-11
USD0.0232014-06-12
USD0.0152014-03-13
20133.29%USD 0.624USD0.5842013-12-12
USD0.0152013-09-12
USD0.0152013-06-13
USD0.012013-03-14
20121.80%USD 0.341USD0.25462012-12-13
USD0.0252012-09-13
USD0.032012-06-14
USD0.0312012-03-15
20111.42%USD 0.269USD0.18152011-12-08
USD0.0312011-09-15
USD0.0332011-06-16
USD0.0232011-03-10
20101.10%USD 0.209USD0.0822010-12-09
USD0.0442010-09-16
USD0.0372010-06-10
USD0.0112010-04-01
USD0.0352010-03-11
20091.26%USD 0.239USD0.08722009-12-10
USD0.052009-09-10
USD0.0552009-06-11
USD0.0472009-03-12
20080.92%USD 0.175USD0.0282008-12-11
USD0.0492008-09-11
USD0.0492008-06-12
USD0.0492008-03-13
20073.83%USD 0.726USD0.58192007-12-13
USD0.052007-09-13
USD0.0492007-06-14
USD0.0452007-03-15
20061.04%USD 0.197USD0.0662006-12-14
USD0.0462006-09-14
USD0.0442006-06-15
USD0.0412006-03-16
20050.78%USD 0.147USD0.0482005-12-15
USD0.0362005-09-15
USD0.0342005-06-16
USD0.0292005-03-10
20040.90%USD 0.171USD0.0752004-12-16
USD0.0332004-09-16
USD0.0322004-06-17
USD0.0312004-03-11