MFS CONSERVATIVE ALLOCATION FUND A(MACFX) USD 15.86
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.28%USD 0.044USD0.044462023-03-23
20223.26%USD 0.517USD0.35262022-12-28
USD0.076572022-09-22
USD0.060972022-06-23
USD0.026552022-03-24
20214.25%USD 0.674USD0.538962021-12-28
USD0.055032021-09-23
USD0.042432021-06-24
USD0.037222021-03-25
20203.11%USD 0.494USD0.339572020-12-29
USD0.050752020-09-24
USD0.054362020-06-25
USD0.049212020-03-26
20193.52%USD 0.558USD0.380572019-12-26
USD0.066752019-09-26
USD0.061682019-06-26
USD0.048722019-03-27
20184.44%USD 0.704USD0.532332018-12-27
USD0.070462018-09-26
USD0.060672018-06-27
USD0.040182018-03-27
20174.28%USD 0.68USD0.556582017-12-27
USD0.055672017-09-27
USD0.029882017-06-28
USD0.037412017-03-29
20162.33%USD 0.369USD0.249412016-12-28
USD0.054062016-09-27
USD0.031242016-06-28
USD0.034482016-03-29
20152.44%USD 0.387USD0.267682015-12-29
USD0.043842015-09-29
USD0.042832015-06-26
USD0.032992015-03-27
20142.97%USD 0.47USD0.176442014-12-30
USD0.1312014-12-29
USD0.05332014-09-26
USD0.061412014-06-27
USD0.04822014-03-28
20131.74%USD 0.275USD0.118342013-12-30
USD0.049252013-09-26
USD0.058892013-06-27
USD0.04892013-03-28
20121.88%USD 0.298USD0.115862012-12-28
USD0.075262012-09-26
USD0.080352012-06-27
USD0.026982012-03-23
20112.29%USD 0.364USD0.166922011-12-28
USD0.093592011-09-28
USD0.055392011-06-24
USD0.0482011-03-25
20101.95%USD 0.309USD0.30932010-12-29
20092.20%USD 0.349USD0.349342009-12-29
20085.02%USD 0.797USD0.43552008-12-29
USD0.3612008-12-26
20076.20%USD 0.983USD0.621472007-12-31
USD0.3622007-12-28
20065.48%USD 0.869USD0.507532006-12-28
USD0.3612006-12-27
20053.83%USD 0.607USD0.319682005-12-30
USD0.2872005-12-29
20041.34%USD 0.213USD0.212832004-12-31
20031.12%USD 0.178USD0.177592003-12-31