MFS MODERATE ALLOCATION FUND R3(MAMHX) USD 18.15
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.18%USD 0.032USD0.032472023-03-23
20223.97%USD 0.721USD0.588612022-12-28
USD0.065162022-09-22
USD0.050422022-06-23
USD0.016932022-03-24
20216.58%USD 1.194USD1.09322021-12-28
USD0.045282021-09-23
USD0.031222021-06-24
USD0.024782021-03-25
20204.16%USD 0.755USD0.640182020-12-29
USD0.039172020-09-24
USD0.04012020-06-25
USD0.035692020-03-26
20194.64%USD 0.842USD0.707822019-12-26
USD0.054412019-09-26
USD0.045512019-06-26
USD0.034352019-03-27
20185.40%USD 0.98USD0.843482018-12-27
USD0.06052018-09-26
USD0.047522018-06-27
USD0.028142018-03-27
20174.39%USD 0.796USD0.681552017-12-27
USD0.04632017-09-27
USD0.035082017-06-28
USD0.033172017-03-29
20162.41%USD 0.438USD0.351782016-12-28
USD0.04582016-09-27
USD0.022372016-06-28
USD0.017732016-03-29
20154.99%USD 0.906USD0.808172015-12-29
USD0.036552015-09-29
USD0.036152015-06-26
USD0.025622015-03-27
20143.06%USD 0.556USD0.230792014-12-30
USD0.1862014-12-29
USD0.044732014-09-26
USD0.055632014-06-27
USD0.03882014-03-28
20131.47%USD 0.268USD0.140342013-12-30
USD0.038672013-09-26
USD0.051992013-06-27
USD0.03662013-03-28
20121.66%USD 0.301USD0.15132012-12-28
USD0.07822012-09-26
USD0.066262012-06-27
USD0.0052012-03-23
20111.93%USD 0.35USD0.166092011-12-28
USD0.093972011-09-28
USD0.049942011-06-24
USD0.040082011-03-25
20101.59%USD 0.288USD0.288142010-12-29
20091.88%USD 0.341USD0.34062009-12-29
20084.48%USD 0.813USD0.449042008-12-29
USD0.3642008-12-26
20076.24%USD 1.133USD0.777742007-12-31
USD0.3552007-12-28
20064.78%USD 0.868USD0.514792006-12-28
USD0.3532006-12-27
20054.02%USD 0.73USD0.390882005-12-30
USD0.3392005-12-29