HIGH YIELD PORTFOLIO CLASS L(MSYLX) USD 8.18
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.60%USD 0.131USD0.043562023-04-04
USD0.043982023-03-02
USD0.043572023-02-02
20224.91%USD 0.402USD0.04092022-12-12
USD0.034552022-11-02
USD0.03692022-10-04
USD0.038362022-09-02
USD0.035852022-08-02
USD0.038412022-07-05
USD0.034942022-06-02
USD0.035512022-05-03
USD0.035392022-04-04
USD0.035712022-03-02
USD0.035352022-02-02
20215.78%USD 0.473USD0.051832021-12-13
USD0.037992021-12-02
USD0.037582021-11-02
USD0.037722021-10-04
USD0.037642021-09-02
USD0.036912021-08-03
USD0.037392021-07-02
USD0.037562021-06-02
USD0.037762021-05-04
USD0.040132021-04-05
USD0.040612021-03-02
USD0.040072021-02-02
20206.21%USD 0.508USD0.053522020-12-11
USD0.040392020-12-02
USD0.037652020-11-03
USD0.035422020-10-02
USD0.040322020-09-02
USD0.040342020-08-04
USD0.040622020-07-02
USD0.040712020-06-02
USD0.043462020-05-04
USD0.045562020-04-02
USD0.045322020-03-03
USD0.044942020-02-04
20197.00%USD 0.573USD0.066442019-12-11
USD0.04522019-12-03
USD0.0452019-11-04
USD0.04522019-10-02
USD0.0452019-09-04
USD0.0452019-08-02
USD0.04522019-07-02
USD0.0452019-06-04
USD0.04762019-05-02
USD0.04752019-04-02
USD0.0482019-03-04
USD0.04772019-02-04
20186.97%USD 0.57USD0.04762018-12-11
USD0.04772018-12-04
USD0.04742018-11-02
USD0.04792018-10-02
USD0.04742018-09-05
USD0.04712018-08-02
USD0.04742018-07-03
USD0.04742018-06-04
USD0.04752018-05-02
USD0.04742018-04-03
USD0.04782018-03-02
USD0.04722018-02-02
20177.50%USD 0.614USD0.09492017-12-11
USD0.04722017-12-04
USD0.04712017-11-02
USD0.04732017-10-03
USD0.04712017-09-05
USD0.04672017-08-02
USD0.04732017-07-05
USD0.04712017-06-02
USD0.04732017-05-02
USD0.0472017-04-04
USD0.04762017-03-02
USD0.04712017-02-02
20167.42%USD 0.607USD0.08722016-12-16
USD0.04712016-12-02
USD0.0472016-11-02
USD0.04722016-10-04
USD0.04652016-09-02
USD0.04732016-08-02
USD0.04732016-07-05
USD0.04722016-06-02
USD0.04742016-05-03
USD0.04732016-04-04
USD0.04792016-03-02
USD0.04762016-02-02
20157.42%USD 0.607USD0.09352015-12-16
USD0.04692015-12-02
USD0.0462015-11-03
USD0.0472015-10-02
USD0.04672015-09-02
USD0.04662015-08-04
USD0.04612015-07-02
USD0.04652015-06-02
USD0.04692015-05-04
USD0.04682015-04-02
USD0.0472015-03-03
USD0.04732015-02-03
20148.32%USD 0.68USD0.1252014-12-16
USD0.04612014-12-02
USD0.04612014-11-04
USD0.04622014-10-02
USD0.04612014-09-03
USD0.05082014-08-04
USD0.05152014-07-02
USD0.05162014-06-03
USD0.05092014-05-02
USD0.05142014-04-02
USD0.05862014-03-04
USD0.05612014-02-04
201314.93%USD 1.221USD0.59662013-12-16
USD0.05592013-12-03
USD0.05662013-11-04
USD0.05682013-10-02
USD0.05772013-09-04
USD0.05662013-08-02
USD0.05672013-07-02
USD0.05652013-06-04
USD0.0572013-05-02
USD0.0572013-04-02
USD0.05712013-03-04
USD0.05672013-02-04
201210.74%USD 0.878USD0.37312012-12-17
USD0.05452012-12-04
USD0.05722012-11-02
USD0.05662012-10-02
USD0.05652012-09-05
USD0.05652012-08-02
USD0.05682012-07-03
USD0.05662012-06-04
USD0.05672012-05-02
USD0.05372012-04-03