INTERNATIONAL VALUE FUND A CLASS(MEQAX) USD 8.11
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.36%USD 0.273USD0.17312022-12-21
USD0.09982022-04-19
20215.25%USD 0.426USD0.26722021-12-21
USD0.15862021-03-23
20201.14%USD 0.093USD0.09272020-03-10
20193.13%USD 0.254USD0.10352019-12-17
USD0.15052019-03-19
20182.92%USD 0.237USD0.11582018-12-18
USD0.12142018-03-20
20173.08%USD 0.25USD0.14472017-12-19
USD0.10542017-03-21
20160.40%USD 0.033USD0.03262016-12-20
20152.20%USD 0.179USD0.16942015-12-22
USD0.00942015-03-17
20145.91%USD 0.48USD0.3012014-12-16
USD0.17852014-03-18
20132.69%USD 0.219USD0.21852013-03-19
20121.40%USD 0.114USD0.11382012-03-06
20111.26%USD 0.102USD0.1022011-03-01
20101.56%USD 0.127USD0.12692010-03-16
20091.59%USD 0.129USD0.12862009-12-15
20084.15%USD 0.336USD0.11482008-12-16
USD0.22162008-03-11
20079.45%USD 0.766USD0.76622007-12-18
200663.66%USD 5.163USD5.16312006-12-12
20051.81%USD 0.147USD0.1472005-12-29
20041.36%USD 0.11USD0.112004-12-30
20031.23%USD 0.1USD0.12003-12-30
20020.48%USD 0.039USD0.0392002-12-30
20010.51%USD 0.041USD0.0412001-12-28
20000.96%USD 0.078USD0.0782000-12-28