DREYFUS WORLDWIDE GROWTH FUND CLASS A(PGROX) USD 63.07
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.83%USD 4.308USD4.11982022-12-14
USD0.032022-11-02
USD0.10862022-08-02
USD0.04942022-05-03
20219.50%USD 5.993USD5.84242021-12-15
USD0.09662021-08-03
USD0.0542021-05-04
20204.15%USD 2.615USD2.33352020-12-15
USD0.06972020-11-03
USD0.09272020-08-04
USD0.11912020-05-04
20196.38%USD 4.025USD3.69022019-12-13
USD0.05722019-11-04
USD0.17322019-08-02
USD0.10412019-05-02
201816.73%USD 10.553USD10.07272018-12-13
USD0.09872018-11-02
USD0.01812018-09-28
USD0.23932018-08-02
USD0.01432018-06-29
USD0.08862018-05-02
USD0.0212018-03-29
201716.34%USD 10.306USD6.71392017-12-28
USD3.0032017-12-01
USD0.10472017-11-02
USD0.02112017-09-29
USD0.2142017-08-02
USD0.042017-06-30
USD0.1682017-05-02
USD0.0412017-03-31
201610.33%USD 6.515USD3.39372016-12-29
USD2.44282016-12-01
USD0.08532016-11-02
USD0.0442016-09-30
USD0.23432016-08-02
USD0.0562016-06-30
USD0.20472016-05-03
USD0.0542016-03-31
201511.59%USD 7.308USD3.47892015-12-30
USD3.01292015-12-02
USD0.1082015-11-03
USD0.0632015-09-30
USD0.25882015-08-04
USD0.0682015-06-30
USD0.24222015-05-04
USD0.0762015-03-31
20145.45%USD 3.44USD0.13352014-12-30
USD1.29792014-12-16
USD1.16132014-12-03
USD0.1292014-11-04
USD0.0582014-09-30
USD0.272014-08-04
USD0.0732014-06-30
USD0.23592014-05-02
USD0.0812014-03-31
20132.10%USD 1.325USD0.1752013-12-17
USD0.33262013-12-05
USD0.1352013-11-04
USD0.0662013-09-30
USD0.2882013-08-02
USD0.0842013-06-28
USD0.16692013-05-02
USD0.0772013-03-28
20121.76%USD 1.109USD0.3152012-12-18
USD0.0592012-12-06
USD0.1272012-11-02
USD0.0542012-09-28
USD0.2632012-08-02
USD0.0632012-06-29
USD0.1752012-05-02
USD0.0532012-04-03
20112.71%USD 1.711USD1.51712011-12-16
USD0.1942011-12-07
20102.98%USD 1.878USD1.66342010-12-20
USD0.1872010-12-06
USD0.0282010-04-28
20092.74%USD 1.728USD1.462009-12-22
USD0.2682009-12-04
20080.59%USD 0.372USD0.1942008-12-22
USD0.1782008-12-02
20071.85%USD 1.165USD0.6952007-12-20
USD0.47012007-12-04
20060.96%USD 0.603USD0.3592006-12-18
USD0.2442006-12-04
20051.21%USD 0.765USD0.5732005-12-16
USD0.1922005-12-02
20041.10%USD 0.692USD0.21192004-12-10
USD0.482004-12-03
20030.76%USD 0.48USD0.08482003-12-12
USD0.3952003-12-03
20020.10%USD 0.065USD0.0652002-12-16
20010.08%USD 0.05USD0.052001-12-10
20000.30%USD 0.189USD0.1892000-12-04