MAINSTAY CONSERVATIVE ALLOCATION FUND CLASS I(MCKIX) USD 11.18
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.73%USD 0.417USD0.27982022-12-29
USD0.05092022-09-30
USD0.04962022-06-30
USD0.03642022-03-31
20218.94%USD 0.999USD0.915592021-12-30
USD0.06052021-09-30
USD0.02332021-06-30
20205.99%USD 0.669USD0.508252020-12-30
USD0.00792020-09-30
USD0.09872020-06-30
USD0.05432020-03-31
20192.97%USD 0.332USD0.18392019-12-30
USD0.05242019-09-30
USD0.01632019-06-28
USD0.07962019-03-29
20185.98%USD 0.668USD0.54212018-12-31
USD0.0352018-09-28
USD0.03972018-06-29
USD0.05132018-03-29
20175.15%USD 0.576USD0.404582017-12-28
USD0.05242017-09-29
USD0.0542017-06-30
USD0.06512017-03-31
20162.58%USD 0.288USD0.092522016-12-30
USD0.031432016-12-28
USD0.05332016-09-30
USD0.0542016-06-30
USD0.05672016-03-31
20154.31%USD 0.482USD0.316522015-12-31
USD0.05612015-09-30
USD0.05572015-06-30
USD0.05332015-03-31
20146.65%USD 0.744USD0.587422014-12-31
USD0.05562014-09-29
USD0.05352014-06-27
USD0.04732014-03-28
20137.15%USD 0.8USD0.635382013-12-31
USD0.0542013-09-27
USD0.05622013-06-27
USD0.05422013-03-28
20124.55%USD 0.508USD0.327692012-12-31
USD0.05982012-09-27
USD0.06032012-06-28
USD0.06062012-03-29
20113.76%USD 0.421USD0.242392011-12-30
USD0.05842011-09-29
USD0.06532011-06-29
USD0.05482011-03-30
20102.89%USD 0.323USD0.146552010-12-30
USD0.05832010-09-29
USD0.06392010-06-29
USD0.05422010-03-30
20092.50%USD 0.28USD0.092009-12-30
USD0.062009-09-25
USD0.0652009-06-26
USD0.0652009-03-27
20083.04%USD 0.34USD0.1052008-12-30
USD0.0732008-09-24
USD0.0832008-06-25
USD0.0792008-03-26
20073.85%USD 0.43USD0.2862007-12-18
USD0.0862007-06-27
USD0.0582007-03-28
20063.19%USD 0.357USD0.112006-12-27
USD0.0742006-09-26
USD0.1112006-06-27
USD0.0622006-03-28
20051.10%USD 0.123USD0.1232005-12-28