ACTIVE INTERNATIONAL ALLOCATION PORTFOLIO CLASS L(MSLLX) USD 15.84
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.85%USD 0.134USD0.13442022-12-16
20218.52%USD 1.35USD1.350132021-12-17
20200.05%USD 0.007USD0.007422020-12-16
20190.38%USD 0.06USD0.060132019-12-16
20180.48%USD 0.077USD0.039192018-12-17
USD0.03742018-07-06
20171.08%USD 0.172USD0.150012017-12-18
USD0.021852017-07-07
20161.02%USD 0.161USD0.161282016-12-16
20150.13%USD 0.021USD0.0212015-07-02
20141.44%USD 0.228USD0.206942014-12-16
USD0.020952014-07-02
20131.65%USD 0.261USD0.209992013-12-16
USD0.051252013-07-02
20120.91%USD 0.144USD0.144442012-12-17