MFS GLOBAL TOTAL RETURN FUND R4(MFWJX) USD 16.74
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.19%USD 0.032USD0.032342023-03-23
20222.78%USD 0.465USD0.43462022-12-15
USD0.010712022-09-22
USD0.009992022-06-23
USD0.009812022-03-24
202111.64%USD 1.949USD1.728472021-12-16
USD0.056742021-09-23
USD0.09772021-06-24
USD0.066242021-03-25
20208.36%USD 1.399USD1.20722020-12-17
USD0.068252020-09-24
USD0.061992020-06-25
USD0.061572020-03-26
20195.14%USD 0.86USD0.649492019-12-19
USD0.051372019-09-26
USD0.117762019-06-26
USD0.041112019-03-27
20183.52%USD 0.59USD0.33682018-12-20
USD0.065172018-09-26
USD0.128692018-06-27
USD0.058932018-03-27
20172.96%USD 0.496USD0.30872017-12-21
USD0.076412017-09-27
USD0.101392017-06-28
USD0.009462017-03-29
20161.33%USD 0.222USD0.128372016-12-13
USD0.039952016-09-27
USD0.042042016-06-28
USD0.011952016-03-29
20154.55%USD 0.762USD0.67112015-12-11
USD0.0562015-12-10
USD0.021852015-09-29
USD0.013382015-03-27
20144.34%USD 0.726USD0.347792014-12-12
USD0.1642014-12-11
USD0.075692014-09-26
USD0.090982014-06-27
USD0.0482014-03-28
20132.89%USD 0.484USD0.218262013-12-11
USD0.1492013-12-10
USD0.036682013-09-26
USD0.043672013-06-27
USD0.036172013-03-28
20121.54%USD 0.258USD0.144022012-12-12
USD0.017072012-09-26
USD0.059782012-06-27
USD0.037382012-03-23
20112.41%USD 0.403USD0.193422011-12-09
USD0.113792011-09-28
USD0.048652011-06-24
USD0.047482011-03-25
20102.53%USD 0.424USD0.223772010-12-10
USD0.068312010-09-29
USD0.047842010-06-25
USD0.0372010-04-30
USD0.047012010-03-26
20091.49%USD 0.249USD0.122392009-12-11
USD0.032592009-09-29
USD0.046712009-06-26
USD0.047632009-03-27
20086.13%USD 1.025USD0.379912008-12-12
USD0.2782008-12-11
USD0.122342008-09-26
USD0.122992008-06-27
USD0.12212008-03-28
200710.56%USD 1.767USD1.286712007-12-12
USD0.2422007-12-11
USD0.13222007-09-27
USD0.062412007-06-28
USD0.043862007-03-29
20068.38%USD 1.404USD1.137122006-12-08
USD0.0862006-12-07
USD0.055872006-09-28
USD0.079642006-06-29
USD0.044932006-03-30
20058.33%USD 1.394USD1.197262005-12-16
USD0.196812005-06-29