T. ROWE PRICE EQUITY INCOME FUND T. ROWE PRICE EQUITY INCOME FUND-ADVISOR CLASS(PAFDX) USD 32.99
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.41%USD 0.134USD0.13392023-03-29
20226.27%USD 2.07USD1.68152022-12-13
USD0.13812022-09-28
USD0.142022-06-28
USD0.112022-03-29
20219.25%USD 3.05USD2.682021-12-13
USD0.142021-09-28
USD0.132021-06-28
USD0.12021-03-29
20203.09%USD 1.02USD0.582020-12-11
USD0.152020-09-28
USD0.172020-06-26
USD0.122020-03-27
20196.94%USD 2.29USD1.832019-12-12
USD0.172019-09-26
USD0.152019-06-26
USD0.142019-03-27
20189.15%USD 3.02USD2.612018-12-12
USD0.152018-09-26
USD0.172018-06-27
USD0.092018-03-27
20179.34%USD 3.08USD2.692017-12-13
USD0.172017-09-27
USD0.142017-06-28
USD0.082017-03-29
20167.15%USD 2.36USD1.972016-12-13
USD0.162016-09-28
USD0.152016-06-28
USD0.082016-03-29
20156.21%USD 2.05USD1.662015-12-11
USD0.152015-09-28
USD0.152015-06-26
USD0.092015-03-27
20147.06%USD 2.33USD1.912014-12-11
USD0.122014-09-26
USD0.132014-06-26
USD0.172014-03-27
20133.97%USD 1.31USD0.972013-12-12
USD0.122013-09-26
USD0.112013-06-26
USD0.112013-03-26
20121.49%USD 0.49USD0.152012-12-13
USD0.112012-09-26
USD0.122012-06-27
USD0.112012-03-28
20111.21%USD 0.4USD0.122011-12-13
USD0.112011-09-28
USD0.12011-06-28
USD0.072011-03-29
20101.25%USD 0.412USD0.12010-12-13
USD0.132010-09-28
USD0.082010-06-28
USD0.0222010-04-30
USD0.082010-03-29
20091.06%USD 0.35USD0.092009-12-11
USD0.082009-09-28
USD0.082009-06-26
USD0.12009-03-27
20083.82%USD 1.26USD0.152008-12-12
USD0.142008-09-26
USD0.132008-06-26
USD0.842008-03-27
20077.09%USD 2.34USD1.612007-12-18
USD0.142007-09-26
USD0.132007-06-27
USD0.462007-03-28
20063.70%USD 1.22USD0.832006-12-19
USD0.112006-09-27
USD0.112006-06-28
USD0.172006-03-29
20055.27%USD 1.74USD1.262005-12-13
USD0.092005-09-28
USD0.12005-06-28
USD0.292005-03-29
20043.30%USD 1.09USD0.662004-12-14
USD0.082004-09-28
USD0.092004-06-28
USD0.262004-03-29
20031.88%USD 0.62USD0.362003-12-17
USD0.092003-09-26
USD0.082003-06-26
USD0.092003-03-27
20022.42%USD 0.8USD0.462002-12-18
USD0.092002-09-26
USD0.072002-06-26
USD0.182002-03-26
20014.27%USD 1.41USD0.672001-12-12
USD0.12001-09-26
USD0.092001-06-27
USD0.552001-03-28
20001.21%USD 0.4USD0.142000-12-13
USD0.132000-09-27
USD0.132000-06-28