MFS MODERATE ALLOCATION FUND I(MMAIX) USD 18.65
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.22%USD 0.042USD0.041612023-03-23
20224.12%USD 0.769USD0.601732022-12-28
USD0.077212022-09-22
USD0.062642022-06-23
USD0.02772022-03-24
20216.70%USD 1.249USD1.109662021-12-28
USD0.058222021-09-23
USD0.044522021-06-24
USD0.036372021-03-25
20204.30%USD 0.802USD0.653762020-12-29
USD0.05172020-09-24
USD0.050572020-06-25
USD0.046092020-03-26
20194.76%USD 0.887USD0.720512019-12-26
USD0.066792019-09-26
USD0.055842019-06-26
USD0.043962019-03-27
20185.51%USD 1.027USD0.856042018-12-27
USD0.071832018-09-26
USD0.058912018-06-27
USD0.04032018-03-27
20174.49%USD 0.838USD0.693032017-12-27
USD0.056922017-09-27
USD0.045722017-06-28
USD0.042532017-03-29
20162.56%USD 0.478USD0.363482016-12-28
USD0.056532016-09-27
USD0.032272016-06-28
USD0.026062016-03-29
20155.09%USD 0.949USD0.819752015-12-29
USD0.047252015-09-29
USD0.046752015-06-26
USD0.035632015-03-27
20143.27%USD 0.609USD0.242362014-12-30
USD0.1982014-12-29
USD0.055122014-09-26
USD0.065922014-06-27
USD0.0482014-03-28
20131.63%USD 0.305USD0.150972013-12-30
USD0.047962013-09-26
USD0.061122013-06-27
USD0.044592013-03-28
20121.80%USD 0.335USD0.160822012-12-28
USD0.087042012-09-26
USD0.075322012-06-27
USD0.012192012-03-23
20112.04%USD 0.381USD0.172762011-12-28
USD0.102582011-09-28
USD0.058462011-06-24
USD0.047272011-03-25
20101.70%USD 0.316USD0.316182010-12-29
20091.96%USD 0.366USD0.366442009-12-29
20084.69%USD 0.874USD0.479362008-12-29
USD0.3952008-12-26
20076.49%USD 1.211USD0.816732007-12-31
USD0.3942007-12-28
20064.99%USD 0.93USD0.546442006-12-28
USD0.3842006-12-27
20054.03%USD 0.752USD0.40212005-12-30
USD0.352005-12-29
20041.29%USD 0.241USD0.240622004-12-31
20030.83%USD 0.155USD0.154882003-12-31