MFS CONSERVATIVE ALLOCATION FUND R1(MACKX) USD 15.23
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.14%USD 0.022USD0.021512023-03-23
20222.61%USD 0.398USD0.320322022-12-28
USD0.047022022-09-22
USD0.030392022-06-23
USD0.000162022-03-24
20213.55%USD 0.54USD0.499212021-12-28
USD0.023062021-09-23
USD0.009242021-06-24
USD0.008842021-03-25
20202.44%USD 0.372USD0.304862020-12-29
USD0.019282020-09-24
USD0.027382020-06-25
USD0.020782020-03-26
20192.93%USD 0.447USD0.347222019-12-26
USD0.03962019-09-26
USD0.036292019-06-26
USD0.023862019-03-27
20183.87%USD 0.59USD0.500912018-12-27
USD0.042182018-09-26
USD0.032372018-06-27
USD0.01462018-03-27
20173.72%USD 0.567USD0.524572017-12-27
USD0.026352017-09-27
USD0.002312017-06-28
USD0.013782017-03-29
20161.70%USD 0.259USD0.21672016-12-28
USD0.025322016-09-27
USD0.005012016-06-28
USD0.011612016-03-29
20151.83%USD 0.279USD0.236722015-12-29
USD0.017152015-09-29
USD0.015912015-06-26
USD0.009412015-03-27
20142.14%USD 0.326USD0.143842014-12-30
USD0.0982014-12-29
USD0.025452014-09-26
USD0.033742014-06-27
USD0.02522014-03-28
20131.14%USD 0.173USD0.089352013-12-30
USD0.023712013-09-26
USD0.03442013-06-27
USD0.025792013-03-28
20121.33%USD 0.202USD0.088472012-12-28
USD0.051162012-09-26
USD0.055552012-06-27
USD0.00712012-03-23
20111.79%USD 0.273USD0.144122011-12-28
USD0.069182011-09-28
USD0.030692011-06-24
USD0.028662011-03-25
20101.44%USD 0.22USD0.219942010-12-29
20091.78%USD 0.271USD0.270912009-12-29
20084.27%USD 0.651USD0.362582008-12-29
USD0.2882008-12-26
20076.14%USD 0.936USD0.59762007-12-31
USD0.3382007-12-28
20065.13%USD 0.781USD0.463892006-12-28
USD0.3172006-12-27
20054.05%USD 0.617USD0.325072005-12-30
USD0.2922005-12-29