T. ROWE PRICE EQUITY INCOME FUND T. ROWE PRICE EQUITY INCOME FUND(PRFDX) USD 33.12
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.43%USD 0.143USD0.1432023-03-29
20226.52%USD 2.161USD1.70232022-12-13
USD0.16852022-09-28
USD0.162022-06-28
USD0.132022-03-29
20219.54%USD 3.16USD2.72021-12-13
USD0.182021-09-28
USD0.162021-06-28
USD0.122021-03-29
20203.35%USD 1.11USD0.612020-12-11
USD0.172020-09-28
USD0.192020-06-26
USD0.142020-03-27
20197.22%USD 2.39USD1.862019-12-12
USD0.192019-09-26
USD0.182019-06-26
USD0.162019-03-27
20189.42%USD 3.12USD2.632018-12-12
USD0.182018-09-26
USD0.192018-06-27
USD0.122018-03-27
20179.63%USD 3.19USD2.722017-12-13
USD0.192017-09-27
USD0.172017-06-28
USD0.112017-03-29
20167.37%USD 2.44USD1.992016-12-13
USD0.182016-09-28
USD0.172016-06-28
USD0.12016-03-29
20156.43%USD 2.13USD1.672015-12-11
USD0.182015-09-28
USD0.172015-06-26
USD0.112015-03-27
20147.37%USD 2.44USD1.952014-12-11
USD0.142014-09-26
USD0.152014-06-26
USD0.22014-03-27
20134.20%USD 1.39USD0.992013-12-12
USD0.142013-09-26
USD0.132013-06-26
USD0.132013-03-26
20121.96%USD 0.65USD0.162012-12-13
USD0.132012-09-26
USD0.142012-06-27
USD0.222012-03-28
20111.36%USD 0.45USD0.132011-12-13
USD0.122011-09-28
USD0.112011-06-28
USD0.092011-03-29
20101.33%USD 0.44USD0.112010-12-13
USD0.142010-09-28
USD0.12010-06-28
USD0.092010-03-29
20091.18%USD 0.39USD0.12009-12-11
USD0.092009-09-28
USD0.092009-06-26
USD0.112009-03-27
20083.93%USD 1.3USD0.162008-12-12
USD0.152008-09-26
USD0.142008-06-26
USD0.852008-03-27
20077.28%USD 2.41USD1.632007-12-18
USD0.162007-09-26
USD0.152007-06-27
USD0.472007-03-28
20063.86%USD 1.28USD0.852006-12-19
USD0.122006-09-27
USD0.122006-06-28
USD0.192006-03-29
20055.40%USD 1.79USD1.272005-12-13
USD0.112005-09-28
USD0.112005-06-28
USD0.32005-03-29
20043.44%USD 1.14USD0.682004-12-14
USD0.092004-09-28
USD0.12004-06-28
USD0.272004-03-29
20031.99%USD 0.66USD0.372003-12-17
USD0.12003-09-26
USD0.082003-06-26
USD0.112003-03-27
20022.45%USD 0.81USD0.462002-12-18
USD0.092002-09-26
USD0.082002-06-26
USD0.182002-03-26
20014.14%USD 1.37USD0.672001-12-12
USD0.12001-09-26
USD0.092001-06-27
USD0.512001-03-28
20009.51%USD 3.15USD2.062000-12-13
USD0.132000-09-27
USD0.132000-06-28
USD0.832000-03-29