MFS INTERNATIONAL VALUE FUND R1(MINRX) USD 34.89
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202214.06%USD 4.904USD4.903922022-12-08
202111.10%USD 3.874USD3.873772021-12-09
20207.25%USD 2.529USD2.529112020-12-10
20194.15%USD 1.448USD1.447812019-12-12
20183.91%USD 1.365USD1.364992018-12-13
20172.31%USD 0.806USD0.805652017-12-14
20160.97%USD 0.338USD0.337922016-12-15
20152.35%USD 0.819USD0.818522015-12-15
20144.13%USD 1.44USD0.916672014-12-17
USD0.5232014-12-16
20132.59%USD 0.904USD0.046892013-12-30
USD0.47612013-12-13
USD0.3812013-12-12
20121.00%USD 0.349USD0.34872012-12-13
20110.92%USD 0.322USD0.32182011-12-16
20100.42%USD 0.145USD0.14492010-12-17
20090.34%USD 0.12USD0.11952009-12-18
20087.72%USD 2.695USD2.10372008-12-17
USD0.5912008-12-16