MFS MODERATE ALLOCATION FUND R2(MARRX) USD 17.84
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.13%USD 0.024USD0.023762023-03-23
20223.79%USD 0.676USD0.576562022-12-28
USD0.053292022-09-22
USD0.039212022-06-23
USD0.007032022-03-24
20216.40%USD 1.142USD1.077582021-12-28
USD0.032742021-09-23
USD0.018092021-06-24
USD0.013482021-03-25
20203.98%USD 0.71USD0.627022020-12-29
USD0.026712020-09-24
USD0.030282020-06-25
USD0.025542020-03-26
20194.47%USD 0.797USD0.695072019-12-26
USD0.042462019-09-26
USD0.034752019-06-26
USD0.02482019-03-27
20185.24%USD 0.935USD0.831162018-12-27
USD0.049992018-09-26
USD0.036852018-06-27
USD0.016562018-03-27
20174.23%USD 0.754USD0.670232017-12-27
USD0.035422017-09-27
USD0.024612017-06-28
USD0.02372017-03-29
20162.23%USD 0.397USD0.340192016-12-28
USD0.035372016-09-27
USD0.012242016-06-28
USD0.009272016-03-29
20154.86%USD 0.866USD0.797232015-12-29
USD0.026032015-09-29
USD0.025692015-06-26
USD0.017192015-03-27
20142.82%USD 0.503USD0.219732014-12-30
USD0.1752014-12-29
USD0.033282014-09-26
USD0.044892014-06-27
USD0.02992014-03-28
20131.28%USD 0.229USD0.129432013-12-30
USD0.029022013-09-26
USD0.042372013-06-27
USD0.028212013-03-28
20121.51%USD 0.27USD0.142282012-12-28
USD0.069772012-09-26
USD0.057452012-06-27
20111.76%USD 0.314USD0.155672011-12-28
USD0.085022011-09-28
USD0.041292011-06-24
USD0.031922011-03-25
20101.44%USD 0.257USD0.256992010-12-29
20091.76%USD 0.314USD0.314482009-12-29
20084.27%USD 0.762USD0.423162008-12-29
USD0.3392008-12-26
20076.19%USD 1.105USD0.763952007-12-31
USD0.3412007-12-28
20064.65%USD 0.83USD0.495662006-12-28
USD0.3342006-12-27
20053.61%USD 0.644USD0.347732005-12-30
USD0.2962005-12-29
20041.10%USD 0.196USD0.19642004-12-31
20030.79%USD 0.141USD0.141412003-12-31