MFS MODERATE ALLOCATION FUND A(MAMAX) USD 18.33
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.18%USD 0.032USD0.032452023-03-23
20223.94%USD 0.723USD0.58912022-12-28
USD0.065232022-09-22
USD0.050862022-06-23
USD0.017392022-03-24
20216.52%USD 1.196USD1.093712021-12-28
USD0.045552021-09-23
USD0.031572021-06-24
USD0.025112021-03-25
20204.13%USD 0.757USD0.640712020-12-29
USD0.03962020-09-24
USD0.040692020-06-25
USD0.035722020-03-26
20194.60%USD 0.842USD0.707992019-12-26
USD0.054662019-09-26
USD0.045442019-06-26
USD0.034382019-03-27
20185.35%USD 0.981USD0.843732018-12-27
USD0.061022018-09-26
USD0.047892018-06-27
USD0.028492018-03-27
20174.34%USD 0.796USD0.681682017-12-27
USD0.045932017-09-27
USD0.035092017-06-28
USD0.033012017-03-29
20162.39%USD 0.437USD0.351522016-12-28
USD0.045972016-09-27
USD0.022272016-06-28
USD0.017712016-03-29
20154.95%USD 0.908USD0.808392015-12-29
USD0.036712015-09-29
USD0.036122015-06-26
USD0.026392015-03-27
20143.03%USD 0.556USD0.23092014-12-30
USD0.1862014-12-29
USD0.044692014-09-26
USD0.055612014-06-27
USD0.03912014-03-28
20131.46%USD 0.267USD0.140212013-12-30
USD0.038622013-09-26
USD0.051872013-06-27
USD0.036372013-03-28
20121.64%USD 0.301USD0.15132012-12-28
USD0.07852012-09-26
USD0.066492012-06-27
USD0.005092012-03-23
20111.90%USD 0.349USD0.16442011-12-28
USD0.094032011-09-28
USD0.050142011-06-24
USD0.042011-03-25
20101.57%USD 0.288USD0.287732010-12-29
20091.85%USD 0.338USD0.338382009-12-29
20084.28%USD 0.785USD0.434542008-12-29
USD0.352008-12-26
20076.15%USD 1.128USD0.775692007-12-31
USD0.3522007-12-28
20064.58%USD 0.84USD0.501232006-12-28
USD0.3392006-12-27
20053.66%USD 0.67USD0.360992005-12-30
USD0.3092005-12-29
20041.13%USD 0.208USD0.207522004-12-31
20030.72%USD 0.133USD0.132682003-12-31