IVY BALANCED FUND CLASS I(IYBIX) USD 18.97
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.38%USD 0.072USD0.0722023-03-22
202225.51%USD 4.84USD4.6992022-12-15
USD0.0662022-09-15
USD0.0352022-06-07
USD0.042022-03-10
202116.89%USD 3.205USD3.10752021-12-16
USD0.0392021-09-16
USD0.0252021-06-10
USD0.0332021-03-11
20209.56%USD 1.814USD1.64822020-12-10
USD0.0742020-09-10
USD0.0482020-06-11
USD0.0442020-03-12
201910.23%USD 1.94USD1.70692019-12-12
USD0.0952019-09-12
USD0.0942019-06-13
USD0.0442019-03-14
201813.81%USD 2.62USD2.36432018-12-13
USD0.1162018-09-13
USD0.0942018-06-14
USD0.0462018-03-15
20176.39%USD 1.212USD0.89172017-12-14
USD0.1272017-09-14
USD0.142017-06-15
USD0.0532017-03-16
20168.02%USD 1.521USD0.46462016-12-08
USD0.0632016-09-15
USD0.0552016-06-16
USD0.9382016-03-07
20153.07%USD 0.583USD0.4282015-12-10
USD0.0712015-09-10
USD0.0492015-06-11
USD0.0352015-03-12
20145.06%USD 0.959USD0.8522014-12-11
USD0.052014-09-11
USD0.0282014-06-12
USD0.0292014-03-13
20133.58%USD 0.679USD0.5992013-12-12
USD0.0292013-09-12
USD0.0292013-06-13
USD0.0222013-03-14
20122.04%USD 0.387USD0.26662012-12-13
USD0.0382012-09-13
USD0.0392012-06-14
USD0.0432012-03-15
20111.66%USD 0.316USD0.19252011-12-08
USD0.0442011-09-15
USD0.0322011-06-16
USD0.0472011-03-10
20101.71%USD 0.324USD0.1062010-12-09
USD0.0692010-09-16
USD0.0542010-06-10
USD0.052010-04-29
USD0.0452010-03-11
20091.46%USD 0.277USD0.09892009-12-10
USD0.0592009-09-10
USD0.0642009-06-11
USD0.0552009-03-12
20081.15%USD 0.218USD0.0382008-12-11
USD0.0612008-09-11
USD0.062008-06-12
USD0.0592008-03-13
20073.74%USD 0.709USD0.59292007-12-13
USD0.0612007-09-13
USD0.0552007-06-14