MFS LOW VOLATILITY EQUITY FUND A(MLVAX) USD 18.1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.19%USD 0.035USD0.034512023-03-23
202212.30%USD 2.226USD2.115912022-12-15
USD0.04242022-09-22
USD0.038942022-06-23
USD0.029082022-03-24
20216.23%USD 1.128USD1.039742021-12-16
USD0.025152021-09-23
USD0.032572021-06-24
USD0.030832021-03-25
20201.07%USD 0.194USD0.06322020-12-17
USD0.040942020-09-24
USD0.046132020-06-25
USD0.043882020-03-26
20190.90%USD 0.162USD0.057742019-12-19
USD0.035012019-09-26
USD0.032772019-06-26
USD0.036842019-03-27
20183.51%USD 0.636USD0.517612018-12-20
USD0.044262018-09-26
USD0.049032018-06-27
USD0.024932018-03-27
20172.01%USD 0.363USD0.254022017-12-21
USD0.039452017-09-27
USD0.042832017-06-28
USD0.026782017-03-29
20160.95%USD 0.172USD0.078382016-12-13
USD0.033842016-09-27
USD0.030522016-06-28
USD0.029732016-03-29
20151.24%USD 0.224USD0.110582015-12-11
USD0.0242015-12-10
USD0.025632015-09-29
USD0.031082015-06-26
USD0.032332015-03-27
20140.90%USD 0.163USD0.039122014-12-12
USD0.0332014-12-11
USD0.031572014-09-26
USD0.029222014-06-27
USD0.03022014-03-28