MAINSTAY BALANCED FUND CLASS R1(MBNRX) USD 28.65
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.75%USD 0.502USD0.142022022-12-07
USD0.11542022-09-30
USD0.09762022-06-30
USD0.14692022-03-31
202125.19%USD 7.218USD6.897722021-12-06
USD0.08632021-09-30
USD0.05752021-06-30
USD0.17672021-03-31
20204.70%USD 1.348USD0.325012020-12-07
USD0.652020-12-04
USD0.08042020-09-30
USD0.09122020-06-30
USD0.20132020-03-31
20194.11%USD 1.179USD0.75032019-12-09
USD0.08982019-09-30
USD0.13392019-06-28
USD0.20472019-03-29
20188.97%USD 2.57USD2.142292018-12-10
USD0.12332018-09-28
USD0.12752018-06-29
USD0.17732018-03-29
20177.93%USD 2.272USD1.96212017-12-11
USD0.13522017-09-29
USD0.06852017-06-30
USD0.10582017-03-31
20163.17%USD 0.909USD0.566362016-12-07
USD0.1042016-09-30
USD0.09552016-06-30
USD0.14332016-03-31
20157.11%USD 2.037USD1.748812015-12-07
USD0.10322015-09-30
USD0.08672015-06-30
USD0.0982015-03-31
201411.21%USD 3.212USD2.932982014-12-08
USD0.09642014-09-29
USD0.09432014-06-27
USD0.08842014-03-28
20138.87%USD 2.541USD2.287932013-12-06
USD0.08042013-09-27
USD0.08642013-06-27
USD0.0862013-03-28
20121.27%USD 0.363USD0.113212012-12-05
USD0.09232012-09-27
USD0.07882012-06-28
USD0.0792012-03-30
20111.24%USD 0.354USD0.0842011-12-13
USD0.0832011-09-29
USD0.0862011-06-29
USD0.1012011-03-30
20101.51%USD 0.433USD0.1192010-12-20
USD0.0982010-09-29
USD0.0952010-06-29
USD0.1212010-03-30
20091.06%USD 0.303USD0.0652009-12-16
USD0.0662009-09-25
USD0.0682009-06-26
USD0.1042009-03-27
20081.76%USD 0.505USD0.12008-12-15
USD0.1342008-09-24
USD0.1342008-06-25
USD0.1372008-03-26
20071.91%USD 0.548USD0.1152007-12-12
USD0.1462007-09-26
USD0.1432007-06-27
USD0.1442007-03-28
20061.90%USD 0.543USD0.1552006-12-14
USD0.132006-09-26
USD0.132006-06-27
USD0.1282006-03-28
20051.44%USD 0.413USD0.1132005-12-15
USD0.1172005-09-30
USD0.1042005-06-30
USD0.0792005-03-31
20041.14%USD 0.327USD0.0942004-12-16
USD0.0712004-09-30
USD0.0932004-06-30
USD0.0692004-03-31