MFS GLOBAL TOTAL RETURN FUND R2(MGBRX) USD 16.47
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.09%USD 0.016USD0.015542023-03-23
20222.57%USD 0.423USD0.423192022-12-15
202111.23%USD 1.85USD1.69952021-12-16
USD0.032812021-09-23
USD0.073842021-06-24
USD0.044122021-03-25
20207.90%USD 1.301USD1.18012020-12-17
USD0.040572020-09-24
USD0.041842020-06-25
USD0.038372020-03-26
20194.65%USD 0.766USD0.622652019-12-19
USD0.027042019-09-26
USD0.097322019-06-26
USD0.019472019-03-27
20183.02%USD 0.498USD0.31232018-12-20
USD0.043142018-09-26
USD0.105332018-06-27
USD0.037092018-03-27
20172.51%USD 0.413USD0.28152017-12-21
USD0.053382017-09-27
USD0.078582017-06-28
20160.94%USD 0.154USD0.107942016-12-13
USD0.022172016-09-27
USD0.024342016-06-28
20154.16%USD 0.686USD0.650772015-12-11
USD0.0352015-12-10
20143.73%USD 0.615USD0.324432014-12-12
USD0.142014-12-11
USD0.054012014-09-26
USD0.067252014-06-27
USD0.02942014-03-28
20132.32%USD 0.383USD0.196232013-12-11
USD0.1272013-12-10
USD0.015672013-09-26
USD0.024012013-06-27
USD0.019692013-03-28
20121.29%USD 0.213USD0.123622012-12-12
USD0.023862012-09-26
USD0.042242012-06-27
USD0.023512012-03-23
20112.04%USD 0.336USD0.176142011-12-09
USD0.095842011-09-28
USD0.031552011-06-24
USD0.032622011-03-25
20101.95%USD 0.321USD0.206522010-12-10
USD0.048792010-09-29
USD0.032672010-06-25
USD0.032832010-03-26
20091.19%USD 0.196USD0.105422009-12-11
USD0.01772009-09-29
USD0.033632009-06-26
USD0.039162009-03-27
20085.75%USD 0.947USD0.364652008-12-12
USD0.2632008-12-11
USD0.106152008-09-26
USD0.10672008-06-27
USD0.106572008-03-28
200710.21%USD 1.682USD1.264752007-12-12
USD0.222007-12-11
USD0.114312007-09-27
USD0.040852007-06-28
USD0.041982007-03-29
20067.95%USD 1.309USD1.116022006-12-08
USD0.0652006-12-07
USD0.035572006-09-28
USD0.062192006-06-29
USD0.029812006-03-30
20058.12%USD 1.338USD1.160132005-12-16
USD0.0492005-12-15
USD0.128922005-06-29
200411.70%USD 1.927USD1.422372004-12-17
USD0.3692004-12-16
USD0.135932004-06-29
20031.64%USD 0.271USD0.270912003-12-18