EQUITY INCOME FUND A CLASS(TWEAX) USD 8.9
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.39%USD 0.035USD0.03492023-03-21
20228.37%USD 0.745USD0.62362022-12-21
USD0.03952022-09-20
USD0.05392022-06-21
USD0.02762022-03-22
20217.28%USD 0.648USD0.53382021-12-21
USD0.03282021-09-21
USD0.05872021-06-22
USD0.02242021-03-23
20201.79%USD 0.16USD0.04332020-12-22
USD0.042020-09-22
USD0.05842020-06-16
USD0.0182020-03-10
20197.31%USD 0.65USD0.5242019-12-20
USD0.03562019-09-17
USD0.05772019-06-18
USD0.0332019-03-19
20186.98%USD 0.622USD0.04522018-12-20
USD0.47052018-12-11
USD0.03582018-09-18
USD0.04552018-06-19
USD0.02452018-03-20
201711.70%USD 1.041USD0.04392017-12-26
USD0.89822017-12-12
USD0.0322017-09-19
USD0.04632017-06-20
USD0.02062017-03-21
20167.56%USD 0.673USD0.04862016-12-27
USD0.52232016-12-13
USD0.03252016-09-20
USD0.04572016-06-21
USD0.02342016-03-15
20159.14%USD 0.814USD0.06132015-12-28
USD0.63162015-12-08
USD0.04982015-09-08
USD0.0472015-06-09
USD0.02422015-03-10
20149.63%USD 0.857USD0.05882014-12-23
USD0.6622014-12-09
USD0.04392014-09-09
USD0.06812014-06-10
USD0.02412014-03-11
20138.22%USD 0.731USD0.05822013-12-23
USD0.54892013-12-06
USD0.04442013-09-10
USD0.04732013-06-11
USD0.03252013-03-12
20122.93%USD 0.261USD0.05182012-12-26
USD0.08212012-12-07
USD0.05062012-09-18
USD0.0572012-06-12
USD0.01952012-03-13
20111.96%USD 0.175USD0.05922011-12-27
USD0.04712011-09-20
USD0.04562011-06-14
USD0.02292011-03-22
20102.15%USD 0.191USD0.06162010-12-28
USD0.062010-09-21
USD0.04462010-06-15
USD0.0252010-03-23
20091.82%USD 0.162USD0.0492009-12-29
USD0.03632009-09-15
USD0.03922009-06-16
USD0.03722009-03-17
20082.46%USD 0.219USD0.01512008-12-31
USD0.05992008-12-29
USD0.04612008-09-16
USD0.05692008-06-17
USD0.04072008-03-18
200710.33%USD 0.919USD0.07872007-12-28
USD0.72912007-12-11
USD0.04422007-09-11
USD0.04972007-06-12
USD0.01742007-03-13
20068.10%USD 0.721USD0.0732006-12-27
USD0.54712006-12-12
USD0.03642006-09-12
USD0.02512006-06-13
USD0.03962006-03-14
20055.26%USD 0.468USD0.0482005-12-28
USD0.32212005-12-06
USD0.0432005-09-13
USD0.02792005-06-14
USD0.02692005-03-15
20046.69%USD 0.596USD0.03252004-12-28
USD0.42082004-12-07
USD0.04222004-09-14
USD0.06312004-06-15
USD0.03692004-03-16
20033.26%USD 0.29USD0.06522003-12-31
USD0.11512003-12-09
USD0.03832003-09-16
USD0.03422003-06-17
USD0.03692003-03-18
20022.66%USD 0.237USD0.03462002-12-31
USD0.09562002-12-06
USD0.03712002-09-30
USD0.03872002-06-28
USD0.03082002-03-28
20012.22%USD 0.198USD0.06722001-12-07
USD0.04282001-09-28
USD0.04662001-06-29
USD0.04142001-03-30
20001.85%USD 0.165USD0.03942000-12-08
USD0.04242000-10-02
USD0.03472000-07-03
USD0.0482000-04-03