MFS MID CAP VALUE FUND I(MCVIX) USD 28.55
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20225.23%USD 1.494USD1.494222022-12-08
20216.56%USD 1.874USD1.873542021-12-09
20200.91%USD 0.26USD0.25972020-12-10
20191.96%USD 0.56USD0.560052019-12-12
20184.51%USD 1.289USD1.288632018-12-13
20172.94%USD 0.84USD0.840182017-12-19
20161.06%USD 0.303USD0.303222016-12-20
20153.15%USD 0.901USD0.900692015-12-17
20145.27%USD 1.505USD1.363732014-12-19
USD0.1412014-12-18
20134.20%USD 1.199USD1.063122013-12-18
USD0.1362013-12-17
20120.59%USD 0.168USD0.168212012-12-19
20110.37%USD 0.105USD0.104712011-12-16
20100.37%USD 0.105USD0.104882010-12-17
20090.27%USD 0.078USD0.078332009-12-18
20080.47%USD 0.135USD0.135462008-12-19
20075.48%USD 1.565USD1.396232007-12-21
USD0.1692007-12-20
20062.17%USD 0.618USD0.511312006-12-19
USD0.1072006-12-18
20055.58%USD 1.592USD1.592222005-12-16
20044.45%USD 1.272USD1.228622004-12-17
USD0.0432004-08-31
20030.08%USD 0.024USD0.023822003-12-18
20020.02%USD 0.004USD0.004492002-02-01