INVESCO DIVERSIFIED DIVIDEND FUND CLASS A(LCEAX) USD 17.81
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.48%USD 0.086USD0.08582023-03-23
202212.03%USD 2.143USD1.8652022-12-14
USD0.09252022-09-22
USD0.09252022-06-23
USD0.09252022-03-24
202120.47%USD 3.645USD3.32292021-12-14
USD0.10732021-09-23
USD0.10732021-06-24
USD0.10752021-03-25
20204.22%USD 0.751USD0.41062020-12-11
USD0.10872020-09-17
USD0.11572020-06-18
USD0.11592020-03-19
20195.86%USD 1.043USD0.69352019-12-13
USD0.11642019-09-19
USD0.11732019-06-20
USD0.11582019-03-21
20187.59%USD 1.352USD1.05642018-12-14
USD0.10562018-09-13
USD0.1062018-06-21
USD0.08442018-03-22
20172.88%USD 0.514USD0.28662017-12-13
USD0.08412017-09-14
USD0.07252017-06-15
USD0.07052017-03-16
20164.42%USD 0.787USD0.58242016-12-13
USD0.07222016-09-15
USD0.06622016-06-16
USD0.06622016-03-17
20151.70%USD 0.302USD0.1032015-12-11
USD0.06652015-09-17
USD0.06642015-06-18
USD0.0662015-03-19
20143.58%USD 0.638USD0.44782014-12-12
USD0.06682014-09-18
USD0.06182014-06-19
USD0.06182014-03-20
20132.28%USD 0.405USD0.22282013-12-13
USD0.0622013-09-19
USD0.06242013-06-20
USD0.05812013-03-21
20122.52%USD 0.449USD0.28192012-12-07
USD0.05942012-09-20
USD0.05942012-06-14
USD0.04852012-03-15
20111.92%USD 0.342USD0.19692011-12-09
USD0.0452011-09-15
USD0.052011-06-16
USD0.04982011-03-17
20101.38%USD 0.245USD0.09872010-12-03
USD0.0462010-09-16
USD0.05012010-06-17
USD0.05012010-03-18
20091.03%USD 0.184USD0.04842009-12-11
USD0.03692009-09-18
USD0.04652009-06-19
USD0.05252009-03-20
20081.37%USD 0.244USD0.05862008-12-12
USD0.05552008-09-18
USD0.06492008-06-18
USD0.06512008-03-18
20076.43%USD 1.146USD0.99372007-12-14
USD0.05012007-09-20
USD0.04722007-06-20
USD0.05452007-03-20
20064.40%USD 0.784USD0.64952006-12-15
USD0.05322006-09-20
USD0.04122006-06-20
USD0.042006-03-20
20051.80%USD 0.321USD0.20062005-12-16
USD0.042005-09-19
USD0.042005-06-20
USD0.042005-03-18
20042.10%USD 0.374USD0.26672004-12-17
USD0.0362004-09-20
USD0.03552004-06-18
USD0.03552004-03-19
20030.43%USD 0.077USD0.03852003-12-12
USD0.0192003-09-19
USD0.0192003-06-20