MFS GLOBAL TOTAL RETURN FUND R3(MFWHX) USD 16.65
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.14%USD 0.024USD0.023932023-03-23
20222.55%USD 0.425USD0.423192022-12-15
USD0.001442022-09-22
202111.41%USD 1.9USD1.714852021-12-16
USD0.044922021-09-23
USD0.085712021-06-24
USD0.054952021-03-25
20208.13%USD 1.354USD1.194332020-12-17
USD0.056322020-09-24
USD0.052772020-06-25
USD0.05082020-03-26
20194.90%USD 0.816USD0.637142019-12-19
USD0.039222019-09-26
USD0.107772019-06-26
USD0.031442019-03-27
20183.27%USD 0.544USD0.324792018-12-20
USD0.05512018-09-26
USD0.115392018-06-27
USD0.048442018-03-27
20172.72%USD 0.453USD0.296182017-12-21
USD0.065542017-09-27
USD0.09112017-06-28
USD0.00022017-03-29
20161.12%USD 0.187USD0.119882016-12-13
USD0.029492016-09-27
USD0.033452016-06-28
USD0.003692016-03-29
20154.29%USD 0.715USD0.660362015-12-11
USD0.0452015-12-10
USD0.004692015-03-27
USD0.0052015-03-26
20144.04%USD 0.672USD0.336012014-12-12
USD0.1522014-12-11
USD0.065152014-09-26
USD0.080272014-06-27
USD0.03872014-03-28
20132.61%USD 0.434USD0.207142013-12-11
USD0.1382013-12-10
USD0.02772013-09-26
USD0.033472013-06-27
USD0.027452013-03-28
20121.48%USD 0.246USD0.134172012-12-12
USD0.030422012-09-26
USD0.050952012-06-27
USD0.030162012-03-23
20112.23%USD 0.371USD0.18512011-12-09
USD0.105622011-09-28
USD0.040072011-06-24
USD0.039962011-03-25
20102.35%USD 0.392USD0.215512010-12-10
USD0.060722010-09-29
USD0.039722010-06-25
USD0.0362010-04-30
USD0.039722010-03-26
20091.33%USD 0.221USD0.11392009-12-11
USD0.025182009-09-29
USD0.040222009-06-26
USD0.041862009-03-27
20085.91%USD 0.985USD0.37232008-12-12
USD0.2712008-12-11
USD0.114462008-09-26
USD0.114212008-06-27
USD0.112732008-03-28
200710.39%USD 1.731USD1.27362007-12-12
USD0.2292007-12-11
USD0.121162007-09-27
USD0.052382007-06-28
USD0.054412007-03-29
20068.11%USD 1.35USD1.12692006-12-08
USD0.0762006-12-07
USD0.043032006-09-28
USD0.071382006-06-29
USD0.033032006-03-30
20058.20%USD 1.364USD1.177432005-12-16
USD0.187062005-06-29