IVY VALUE FUND CLASS C(IYVCX) USD 20.08
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.18%USD 0.037USD0.0372023-03-22
202223.17%USD 4.652USD4.5622022-12-15
USD0.0732022-09-15
USD0.0172022-06-07
202113.77%USD 2.764USD2.62942021-12-16
USD0.0112021-09-16
USD0.1242021-06-10
20202.92%USD 0.586USD0.54022020-12-10
USD0.0462020-06-11
201910.46%USD 2.101USD2.10122019-12-12
20186.44%USD 1.293USD1.29262018-12-13
20173.52%USD 0.707USD0.50312017-12-14
USD0.2042017-10-10
20161.82%USD 0.365USD0.23992016-12-08
USD0.0122016-09-15
USD0.11272016-06-16
201512.63%USD 2.537USD2.53692015-12-10
20148.05%USD 1.616USD1.61552014-12-11
20134.19%USD 0.842USD0.84212013-12-12
20120.27%USD 0.054USD0.00952012-12-13
USD0.04492012-06-14
20110.96%USD 0.192USD0.1922011-12-08
20075.95%USD 1.196USD1.19552007-12-13
20062.03%USD 0.407USD0.40742006-12-14
20050.04%USD 0.008USD0.0082005-12-15