Liberty All Star Growth Fund(XASGX) USD 5.45
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202118.72%USD 1.02USD0.522021-11-18
USD0.172021-07-22
USD0.172021-04-22
USD0.162021-01-21
202011.56%USD 0.63USD0.262020-11-12
USD0.132020-07-23
USD0.112020-04-23
USD0.132020-01-23
20198.44%USD 0.46USD0.122019-11-14
USD0.122019-07-25
USD0.122019-04-25
USD0.12019-01-24
20188.44%USD 0.46USD0.112018-11-15
USD0.122018-07-26
USD0.112018-04-26
USD0.122018-01-25
20177.71%USD 0.42USD0.112017-11-16
USD0.112017-07-26
USD0.12017-04-26
USD0.12017-01-25
20166.61%USD 0.36USD0.092016-10-26
USD0.12016-07-27
USD0.092016-04-27
USD0.082016-02-16
201514.13%USD 0.77USD0.342015-12-21
USD0.112015-10-28
USD0.122015-07-29
USD0.122015-04-29
USD0.082015-01-21
20146.06%USD 0.33USD0.082014-10-29
USD0.082014-07-30
USD0.082014-04-30
USD0.092014-01-22
20135.69%USD 0.31USD0.092013-10-30
USD0.082013-07-31
USD0.072013-05-01
USD0.072013-01-23
20124.95%USD 0.27USD0.072012-10-31
USD0.062012-08-01
USD0.072012-05-23
USD0.072012-02-22
20114.95%USD 0.27USD0.072011-12-14
USD0.062011-08-24
USD0.072011-05-25
USD0.072011-02-23
20104.59%USD 0.25USD0.072010-12-15
USD0.062010-08-25
USD0.062010-05-26
USD0.062010-02-24
20094.40%USD 0.24USD0.062009-12-16
USD0.052009-08-26
USD0.052009-05-06
USD0.082009-01-28
20088.62%USD 0.47USD0.082008-12-10
USD0.122008-08-06
USD0.142008-05-07
USD0.132008-01-31
200711.19%USD 0.61USD0.162007-11-07
USD0.152007-08-08
USD0.152007-05-09
USD0.152007-02-28
200613.58%USD 0.74USD0.142006-11-08
USD0.142006-08-30
USD0.32006-05-31
USD0.162006-03-01
200510.64%USD 0.58USD0.142005-11-08
USD0.152005-08-03
USD0.142005-05-11
USD0.152005-02-02
200411.56%USD 0.63USD0.152004-11-09
USD0.152004-08-11
USD0.162004-05-12
USD0.172004-02-04
200310.64%USD 0.58USD0.162003-11-12
USD0.152003-08-13
USD0.142003-05-14
USD0.132003-02-05
200212.29%USD 0.67USD0.142002-11-13
USD0.142002-08-28
USD0.192002-05-15
USD0.22002-01-30
200116.88%USD 0.92USD0.192001-11-14
USD0.232001-08-15
USD0.242001-05-16
USD0.262001-02-28
200024.59%USD 1.34USD0.332000-11-15
USD0.362000-08-30
USD0.332000-05-31
USD0.322000-03-01