MAINSTAY CONVERTIBLE FUND CLASS C(MCCVX) USD 17.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.20%USD 0.552USD0.551632022-12-15
202127.16%USD 4.677USD4.638692021-12-06
USD0.03852021-03-31
20208.52%USD 1.468USD1.467772020-12-07
20192.00%USD 0.344USD0.33812019-12-09
USD0.0012019-09-30
USD0.00492019-03-29
20185.01%USD 0.863USD0.8512018-12-10
USD0.01232018-03-29
20176.27%USD 1.08USD1.065882017-12-11
USD0.01412017-09-29
USD0.00052017-06-30
20162.22%USD 0.383USD0.330772016-12-13
USD0.01412016-09-30
USD0.01552016-06-30
USD0.02252016-03-31
20156.66%USD 1.146USD1.14642015-12-10
201410.53%USD 1.813USD1.813432014-12-08
20134.15%USD 0.715USD0.652292013-12-06
USD0.00342013-06-27
USD0.0592013-03-28
20124.80%USD 0.826USD0.728132012-12-05
USD0.03432012-09-27
USD0.03372012-06-28
USD0.03012012-03-29
20115.54%USD 0.954USD0.833472011-12-13
USD0.04652011-09-29
USD0.04722011-06-29
USD0.02672011-03-30
20101.16%USD 0.2USD0.046072010-12-20
USD0.05042010-09-29
USD0.04552010-06-29
USD0.05762010-03-30
20091.66%USD 0.286USD0.05912009-12-16
USD0.0612009-09-25
USD0.06342009-06-26
USD0.10232009-03-27
20080.45%USD 0.078USD0.004482008-11-24
USD0.03712008-09-24
USD0.02252008-06-25
USD0.01412008-03-26
20077.86%USD 1.353USD0.035452007-12-12
USD1.278392007-12-07
USD0.00712007-09-26
USD0.03252007-03-28
20060.62%USD 0.107USD0.07382006-12-14
USD0.01762006-09-26
USD0.00962006-06-27
USD0.00632006-03-28
20050.47%USD 0.08USD0.01782005-12-15
USD0.05092005-09-30
USD0.01162005-06-30
20040.36%USD 0.062USD0.01092004-12-16
USD0.01712004-09-30
USD0.01172004-06-30
USD0.02182004-03-31
20030.66%USD 0.113USD0.02252003-12-18
USD0.0312003-09-30
USD0.02352003-06-30
USD0.03622003-03-31
20020.94%USD 0.163USD0.03712002-12-19
USD0.03932002-09-30
USD0.03872002-06-28
USD0.04752002-03-28
20011.58%USD 0.273USD0.05842001-12-18
USD0.06862001-09-28
USD0.04492001-06-29
USD0.10062001-03-30
200016.03%USD 2.76USD2.62582000-12-19
USD0.13392000-09-29