MFS INTERNATIONAL VALUE FUND C(MGICX) USD 34.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202214.19%USD 4.884USD4.883792022-12-08
202111.05%USD 3.803USD3.80322021-12-09
20207.35%USD 2.529USD2.529112020-12-10
20194.20%USD 1.444USD1.443852019-12-12
20183.91%USD 1.344USD1.34392018-12-13
20172.32%USD 0.798USD0.797932017-12-14
20160.91%USD 0.313USD0.312782016-12-15
20152.45%USD 0.845USD0.84452015-12-15
20144.07%USD 1.401USD0.897192014-12-17
USD0.5042014-12-16
20132.81%USD 0.968USD0.046892013-12-30
USD0.5082013-12-13
USD0.4132013-12-12
20120.93%USD 0.319USD0.31922012-12-14
20110.59%USD 0.203USD0.20292011-12-16
20100.59%USD 0.205USD0.14162010-12-17
USD0.0632010-04-30
20090.18%USD 0.063USD0.06282009-12-18
20087.07%USD 2.431USD1.97232008-12-17
USD0.4592008-12-16
20077.20%USD 2.479USD2.31262007-12-14
USD0.1662007-12-13
20067.93%USD 2.729USD2.48342006-12-19
USD0.2462006-12-18
20056.23%USD 2.144USD1.98282005-12-16
USD0.1612005-12-15
20041.59%USD 0.548USD0.54842004-12-17
20030.04%USD 0.015USD0.01532003-12-18
20020.28%USD 0.096USD0.0962002-02-05
20000.68%USD 0.233USD0.2332000-12-18