MFS CONSERVATIVE ALLOCATION FUND R3(MACNX) USD 15.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.28%USD 0.045USD0.044512023-03-23
20223.28%USD 0.516USD0.352722022-12-28
USD0.076592022-09-22
USD0.060352022-06-23
USD0.026322022-03-24
20214.28%USD 0.672USD0.538692021-12-28
USD0.05492021-09-23
USD0.04192021-06-24
USD0.036812021-03-25
20203.13%USD 0.492USD0.338962020-12-29
USD0.05012020-09-24
USD0.054062020-06-25
USD0.048882020-03-26
20193.38%USD 0.531USD0.380442019-12-26
USD0.03962019-09-26
USD0.061752019-06-26
USD0.048712019-03-27
20184.47%USD 0.703USD0.532352018-12-27
USD0.070482018-09-26
USD0.06032018-06-27
USD0.039792018-03-27
20174.32%USD 0.679USD0.556112017-12-27
USD0.055972017-09-27
USD0.029922017-06-28
USD0.037322017-03-29
20162.35%USD 0.369USD0.249022016-12-28
USD0.053722016-09-27
USD0.031122016-06-28
USD0.034822016-03-29
20152.47%USD 0.387USD0.267672015-12-29
USD0.043742015-09-29
USD0.042932015-06-26
USD0.033122015-03-27
20142.98%USD 0.468USD0.176262014-12-30
USD0.132014-12-29
USD0.05342014-09-26
USD0.061452014-06-27
USD0.04712014-03-28
20131.76%USD 0.276USD0.118452013-12-30
USD0.049422013-09-26
USD0.0592013-06-27
USD0.049362013-03-28
20121.90%USD 0.298USD0.115742012-12-28
USD0.074962012-09-26
USD0.08052012-06-27
USD0.027122012-03-23
20112.32%USD 0.364USD0.167122011-12-28
USD0.093412011-09-28
USD0.055282011-06-24
USD0.048212011-03-25
20101.97%USD 0.31USD0.309952010-12-29
20092.24%USD 0.353USD0.352652009-12-29
20085.23%USD 0.821USD0.448142008-12-29
USD0.3732008-12-26
20076.37%USD 1.001USD0.630452007-12-31
USD0.3712007-12-28
20065.76%USD 0.905USD0.525622006-12-28
USD0.3792006-12-27
20054.22%USD 0.663USD0.347552005-12-30
USD0.3152005-12-29