IVY GLOBAL BOND FUND CLASS N(IVBDX) USD 9.08
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.40%USD 0.036USD0.0092023-03-22
USD0.0272023-01-20
20223.48%USD 0.316USD0.1282022-12-15
USD0.0212022-11-10
USD0.022022-10-13
USD0.0212022-09-15
USD0.0192022-08-11
USD0.022022-07-14
USD0.0182022-06-07
USD0.0162022-05-12
USD0.0082022-04-14
USD0.0182022-03-10
USD0.0182022-02-10
USD0.0092022-01-13
20213.24%USD 0.294USD0.04092021-12-16
USD0.0242021-11-11
USD0.0242021-10-14
USD0.0252021-09-16
USD0.0242021-08-12
USD0.0242021-07-15
USD0.0242021-06-10
USD0.0242021-05-13
USD0.0242021-04-15
USD0.0242021-03-11
USD0.0242021-02-11
USD0.0122021-01-14
20203.16%USD 0.287USD0.0642020-12-10
USD0.0272020-11-12
USD0.0272020-10-15
USD0.0272020-09-10
USD0.0182020-08-13
USD0.0182020-07-16
USD0.0182020-06-11
USD0.0182020-05-14
USD0.0172020-04-16
USD0.0182020-03-12
USD0.0192020-02-13
USD0.0162020-01-16
20192.46%USD 0.223USD0.02712019-12-12
USD0.0182019-11-14
USD0.0192019-10-10
USD0.0182019-09-12
USD0.0182019-08-15
USD0.0182019-07-11
USD0.0182019-06-13
USD0.0192019-05-16
USD0.0182019-04-11
USD0.0182019-03-14
USD0.0182019-02-14
USD0.0142019-01-10
20183.51%USD 0.319USD0.0932018-12-13
USD0.0282018-11-15
USD0.0272018-10-11
USD0.0272018-09-13
USD0.0272018-08-16
USD0.0172018-07-12
USD0.0182018-06-14
USD0.0162018-05-10
USD0.0182018-04-12
USD0.0172018-03-15
USD0.0172018-02-15
USD0.0142018-01-11
20172.53%USD 0.23USD0.04892017-12-14
USD0.0172017-11-16
USD0.0192017-10-10
USD0.0172017-09-14
USD0.0172017-08-10
USD0.0172017-07-13
USD0.0172017-06-15
USD0.0172017-05-11
USD0.0172017-04-13
USD0.0172017-03-16
USD0.0172017-02-09
USD0.0092017-01-12
20162.53%USD 0.23USD0.0442016-12-08
USD0.0172016-11-10
USD0.0172016-10-13
USD0.0172016-09-15
USD0.0172016-08-11
USD0.0172016-07-14
USD0.0172016-06-16
USD0.0172016-05-12
USD0.0162016-04-14
USD0.0172016-03-10
USD0.0172016-02-11
USD0.0172016-01-14
20153.26%USD 0.296USD0.0682015-12-10
USD0.0222015-11-12
USD0.0222015-10-15
USD0.0212015-09-10
USD0.0222015-08-13
USD0.0222015-07-16
USD0.0222015-06-11
USD0.0222015-05-14
USD0.0232015-04-16
USD0.0222015-03-12
USD0.0222015-02-12
USD0.0082015-01-15
20142.02%USD 0.183USD0.0712014-12-11
USD0.0282014-11-13
USD0.0292014-10-16
USD0.0292014-09-11
USD0.0262014-08-14