MFS INTERNATIONAL VALUE FUND I(MINIX) USD 42.53
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202212.44%USD 5.289USD5.289252022-12-08
20219.59%USD 4.078USD4.07782021-12-09
20206.74%USD 2.865USD2.86472020-12-10
20194.42%USD 1.88USD1.879642019-12-12
20184.17%USD 1.774USD1.773542018-12-13
20172.79%USD 1.187USD1.186622017-12-14
20161.57%USD 0.667USD0.666812016-12-15
20152.68%USD 1.141USD1.141352015-12-15
20144.54%USD 1.932USD1.16292014-12-17
USD0.7692014-12-16
20133.22%USD 1.371USD0.046892013-12-30
USD0.70952013-12-13
USD0.6152013-12-12
20121.21%USD 0.514USD0.51362012-12-14
20110.97%USD 0.413USD0.41312011-12-16
20100.74%USD 0.313USD0.31322010-12-17
20090.53%USD 0.227USD0.22712009-12-18
20086.34%USD 2.695USD2.1042008-12-17
USD0.5912008-12-16
20077.33%USD 3.117USD2.63242007-12-14
USD0.4852007-12-13
20067.65%USD 3.252USD2.74492006-12-19
USD0.5072006-12-18
20055.52%USD 2.347USD2.08482005-12-16
USD0.2622005-12-15
20041.89%USD 0.802USD0.67522004-12-17
USD0.1272004-12-16
20030.29%USD 0.123USD0.12312003-12-18
20020.23%USD 0.096USD0.0962002-02-05
20002.76%USD 1.176USD1.17552000-12-19