IVY MUNICIPAL BOND FUND CLASS N(IMBNX) USD 10.09
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.66%USD 0.067USD0.03232023-02-28
USD0.03432023-01-31
20224.29%USD 0.432USD0.03332022-12-30
USD0.0262022-12-15
USD0.03242022-11-30
USD0.03562022-10-31
USD0.0342022-09-30
USD0.03472022-08-31
USD0.03482022-07-29
USD0.03342022-06-30
USD0.03332022-05-27
USD0.03072022-04-27
USD0.0282022-03-31
USD0.02522022-03-25
USD0.0252022-02-28
USD0.0262022-01-31
20213.57%USD 0.361USD0.0312021-12-31
USD0.10762021-12-16
USD0.02492021-11-26
USD0.02052021-10-27
USD0.022021-09-30
USD0.022021-08-31
USD0.01982021-07-27
USD0.02082021-06-25
USD0.022021-05-27
USD0.02022021-04-27
USD0.01842021-03-26
USD0.02112021-02-26
USD0.01642021-01-27
20203.10%USD 0.313USD0.02592020-12-31
USD0.02562020-11-27
USD0.02292020-10-27
USD0.02592020-09-25
USD0.0262020-08-27
USD0.02472020-07-27
USD0.0292020-06-26
USD0.02682020-05-27
USD0.02652020-04-27
USD0.02742020-03-27
USD0.02892020-02-27
USD0.02312020-01-27
20192.01%USD 0.203USD0.001192019-12-31
USD0.001112019-11-27
USD0.001012019-10-25
USD0.00122019-09-27
USD0.001122019-08-27
USD0.001162019-07-26
USD0.0332019-06-27
USD0.0312019-05-24
USD0.0352019-04-26
USD0.0322019-03-27
USD0.0362019-02-27
USD0.0292019-01-25
20184.40%USD 0.444USD0.0412018-12-31
USD0.0362018-11-27
USD0.0362018-10-26
USD0.0362018-09-27
USD0.0372018-08-27
USD0.0382018-07-27
USD0.0372018-06-27
USD0.0362018-05-25
USD0.0422018-04-27
USD0.0352018-03-27
USD0.0372018-02-27
USD0.0332018-01-26
20171.72%USD 0.174USD0.0422017-12-29
USD0.0352017-11-27
USD0.0342017-10-27
USD0.0312017-09-27
USD0.0322017-08-25