MFS GLOBAL TOTAL RETURN FUND A(MFWTX) USD 16.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.14%USD 0.024USD0.023812023-03-23
20222.54%USD 0.424USD0.423192022-12-15
USD0.000192022-09-22
USD0.000242022-03-24
202111.37%USD 1.9USD1.713952021-12-16
USD0.045152021-09-23
USD0.085562021-06-24
USD0.055592021-03-25
20208.10%USD 1.354USD1.194042020-12-17
USD0.056432020-09-24
USD0.052432020-06-25
USD0.051242020-03-26
20194.88%USD 0.815USD0.636862019-12-19
USD0.039292019-09-26
USD0.107582019-06-26
USD0.031372019-03-27
20183.26%USD 0.544USD0.324412018-12-20
USD0.054482018-09-26
USD0.116912018-06-27
USD0.048212018-03-27
20172.71%USD 0.452USD0.296612017-12-21
USD0.065362017-09-27
USD0.090462017-06-28
20161.10%USD 0.183USD0.117882016-12-13
USD0.029362016-09-27
USD0.03212016-06-28
USD0.003862016-03-29
20154.26%USD 0.713USD0.66042015-12-11
USD0.0452015-12-10
USD0.001332015-09-29
USD0.0012015-09-28
USD0.004942015-03-27
20144.03%USD 0.673USD0.336422014-12-12
USD0.1522014-12-11
USD0.065422014-09-26
USD0.080432014-06-27
USD0.03912014-03-28
20132.60%USD 0.434USD0.207332013-12-11
USD0.1382013-12-10
USD0.027182013-09-26
USD0.033492013-06-27
USD0.027762013-03-28
20121.47%USD 0.245USD0.133962012-12-12
USD0.030792012-09-26
USD0.050722012-06-27
USD0.032012-03-23
20112.21%USD 0.369USD0.18462011-12-09
USD0.104872011-09-28
USD0.042011-06-24
USD0.042011-03-25
20102.35%USD 0.392USD0.215022010-12-10
USD0.062010-09-29
USD0.042010-06-25
USD0.0372010-04-30
USD0.042010-03-26
20091.31%USD 0.219USD0.113882009-12-11
USD0.0252009-09-29
USD0.042009-06-26
USD0.042009-03-27
20085.81%USD 0.97USD0.369262008-12-12
USD0.2682008-12-11
USD0.110892008-09-26
USD0.110992008-06-27
USD0.110962008-03-28
200710.38%USD 1.734USD1.275752007-12-12
USD0.2312007-12-11
USD0.122352007-09-27
USD0.052862007-06-28
USD0.052442007-03-29
20068.10%USD 1.354USD1.127422006-12-08
USD0.0772006-12-07
USD0.044452006-09-28
USD0.070822006-06-29
USD0.034562006-03-30
20058.49%USD 1.419USD1.179952005-12-16
USD0.0692005-12-15
USD0.172005-06-29
200411.86%USD 1.981USD1.437312004-12-17
USD0.3842004-12-16
USD0.162004-06-29
20032.23%USD 0.372USD0.25222003-12-18
USD0.122003-06-27
20021.22%USD 0.203USD0.124322002-12-18
USD0.078992002-06-27
20010.95%USD 0.159USD0.034172001-12-18
USD0.1252001-06-28
200010.21%USD 1.706USD1.19862000-12-19
USD0.3772000-12-18
USD0.132000-06-29