MFS GLOBAL TOTAL RETURN FUND R1(MFWGX) USD 16.59
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.55%USD 0.423USD0.423192022-12-15
202110.55%USD 1.751USD1.669492021-12-16
USD0.010992021-09-23
USD0.047062021-06-24
USD0.023032021-03-25
20207.35%USD 1.22USD1.154922020-12-17
USD0.021272020-09-24
USD0.022822020-06-25
USD0.020972020-03-26
20194.12%USD 0.683USD0.599212019-12-19
USD0.003752019-09-26
USD0.076422019-06-26
USD0.003362019-03-27
20182.48%USD 0.411USD0.284922018-12-20
USD0.028782018-09-26
USD0.081972018-06-27
USD0.015742018-03-27
20172.09%USD 0.347USD0.256032017-12-21
USD0.032082017-09-27
USD0.058692017-06-28
20160.51%USD 0.084USD0.081432016-12-13
USD0.002352016-06-28
20153.84%USD 0.638USD0.626512015-12-11
USD0.0112015-12-10
20143.06%USD 0.507USD0.29892014-12-12
USD0.1152014-12-11
USD0.033382014-09-26
USD0.048512014-06-27
USD0.01172014-03-28
20131.72%USD 0.286USD0.171462013-12-11
USD0.1022013-12-10
USD0.004582013-06-27
USD0.0052013-06-26
USD0.003122013-03-28
20120.84%USD 0.14USD0.105462012-12-12
USD0.003892012-09-26
USD0.022732012-06-27
USD0.007882012-03-23
20111.61%USD 0.267USD0.158072011-12-09
USD0.077822011-09-28
USD0.014332011-06-24
USD0.016742011-03-25
20101.77%USD 0.294USD0.18922010-12-10
USD0.036062010-09-29
USD0.014712010-06-25
USD0.0362010-04-30
USD0.018322010-03-26
20090.85%USD 0.141USD0.088082009-12-11
USD0.003412009-09-29
USD0.0032009-09-28
USD0.022322009-06-26
USD0.024332009-03-27
20085.20%USD 0.863USD0.348442008-12-12
USD0.2472008-12-11
USD0.089162008-09-26
USD0.091642008-06-27
USD0.087232008-03-28
20079.68%USD 1.607USD1.251242007-12-12
USD0.2072007-12-11
USD0.095612007-09-27
USD0.027482007-06-28
USD0.025312007-03-29
20067.65%USD 1.27USD1.113292006-12-08
USD0.0632006-12-07
USD0.026982006-09-28
USD0.04562006-06-29
USD0.0212006-03-31
20057.90%USD 1.31USD1.149652005-12-16
USD0.160492005-06-29