CORPORATE BOND PORTFOLIO CLASS A SHARES(MIGAX) USD 10.47
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.96%USD 0.101USD0.035062023-04-04
USD0.034212023-03-02
USD0.031332023-02-02
20222.75%USD 0.288USD0.031372022-12-12
USD0.03152022-12-02
USD0.029892022-11-02
USD0.026682022-10-04
USD0.025742022-09-02
USD0.021982022-08-02
USD0.021782022-07-05
USD0.022152022-06-02
USD0.01982022-05-03
USD0.019672022-04-04
USD0.020012022-03-02
USD0.017412022-02-02
20215.38%USD 0.564USD0.364532021-12-13
USD0.017772021-12-02
USD0.017472021-11-02
USD0.01642021-10-04
USD0.016552021-09-02
USD0.016712021-08-03
USD0.018332021-07-02
USD0.01882021-06-02
USD0.018982021-05-04
USD0.019282021-04-05
USD0.019322021-03-02
USD0.019412021-02-02
20207.04%USD 0.737USD0.496012020-12-11
USD0.019332020-12-02
USD0.018922020-11-03
USD0.018672020-10-02
USD0.019872020-09-02
USD0.01972020-08-04
USD0.021522020-07-02
USD0.022542020-06-02
USD0.022472020-05-04
USD0.023882020-04-02
USD0.026732020-03-03
USD0.02772020-02-04
20193.35%USD 0.351USD0.027722019-12-11
USD0.027842019-12-03
USD0.027682019-11-04
USD0.026652019-10-02
USD0.027192019-09-04
USD0.029712019-08-02
USD0.092582019-07-02
USD0.091372019-04-02
20182.93%USD 0.307USD0.090012018-12-11
USD0.091982018-10-02
USD0.04742018-07-03
USD0.07762018-04-03
20173.00%USD 0.315USD0.078172017-12-11
USD0.079542017-10-03
USD0.078142017-07-05
USD0.078662017-04-04
20163.15%USD 0.33USD0.08222016-12-16
USD0.082282016-10-04
USD0.083932016-07-05
USD0.081212016-04-04
20152.79%USD 0.293USD0.081342015-12-16
USD0.069632015-10-02
USD0.07092015-07-02
USD0.070752015-04-02
20142.61%USD 0.274USD0.070152014-12-16
USD0.061332014-10-02
USD0.070792014-07-02
USD0.071322014-04-02
20132.80%USD 0.294USD0.067362013-12-16
USD0.07462013-10-02
USD0.075962013-07-02
USD0.07572013-04-02
20123.49%USD 0.366USD0.075872012-12-17
USD0.0762012-10-02
USD0.106592012-07-03
USD0.107082012-04-03
20113.28%USD 0.344USD0.131232011-12-16
USD0.0712011-10-04
USD0.07092011-07-07
USD0.07072011-04-04
20102.76%USD 0.289USD0.0712010-12-17
USD0.0712010-10-04
USD0.07112010-07-07
USD0.07622010-04-05
20093.75%USD 0.393USD0.15972009-12-18
USD0.07622009-10-02
USD0.08192009-07-02
USD0.07532009-04-02
20086.03%USD 0.631USD0.2542008-12-19
USD0.1262008-10-02
USD0.12582008-07-02
USD0.12542008-04-02
20074.58%USD 0.48USD0.13092007-12-20
USD0.11752007-10-02
USD0.11542007-07-03
USD0.11572007-04-03
20065.55%USD 0.582USD0.222006-12-21
USD0.13042006-10-03
USD0.12052006-07-05
USD0.11062006-04-04
20055.45%USD 0.571USD0.24932005-12-23
USD0.11042005-10-04
USD0.11052005-07-05
USD0.10072005-04-04
20045.73%USD 0.6USD0.29882004-12-27
USD0.10052004-10-04
USD0.10062004-07-02
USD0.09982004-04-02
20034.39%USD 0.46USD0.16072003-12-19
USD0.06982003-10-02
USD0.11972003-07-02
USD0.10972003-04-02
20023.38%USD 0.354USD0.22892002-12-19
USD0.12472002-10-10