Morgan Stanley Emerging Markets Debt Fund Inc(XMSDX) USD 7.49
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.60%USD 0.12USD0.122022-03-30
20216.01%USD 0.45USD0.1252021-12-16
USD0.112021-09-29
USD0.112021-06-29
USD0.1052021-03-30
20205.78%USD 0.433USD0.1052020-12-17
USD0.112020-09-29
USD0.0982020-06-29
USD0.122020-03-30
20196.94%USD 0.52USD0.132019-12-19
USD0.132019-09-27
USD0.132019-06-27
USD0.132019-03-28
20187.21%USD 0.54USD0.132018-12-20
USD0.132018-09-27
USD0.142018-06-28
USD0.142018-03-28
20177.74%USD 0.58USD0.142017-12-21
USD0.142017-09-28
USD0.152017-06-28
USD0.152017-03-29
20168.34%USD 0.625USD0.1752016-12-21
USD0.152016-09-28
USD0.152016-06-28
USD0.152016-03-29
20158.04%USD 0.603USD0.18252015-12-16
USD0.142015-09-28
USD0.142015-06-26
USD0.142015-03-27
20147.61%USD 0.57USD0.152014-12-17
USD0.142014-09-26
USD0.142014-06-26
USD0.142014-03-27
201312.96%USD 0.97USD0.460062013-12-18
USD0.142013-09-26
USD0.230352013-06-26
USD0.142013-03-26
20128.41%USD 0.63USD0.21012012-12-19
USD0.142012-09-26
USD0.142012-06-27
USD0.142012-03-28
20118.77%USD 0.657USD0.142011-12-21
USD0.162011-09-28
USD0.196832011-06-28
USD0.162011-03-29
201012.92%USD 0.968USD0.48772010-12-21
USD0.162010-09-28
USD0.162010-06-28
USD0.162010-03-29
20098.52%USD 0.638USD0.26312009-12-22
USD0.142009-09-28
USD0.132009-06-26
USD0.1052009-03-27
200811.51%USD 0.862USD0.39732008-12-17
USD0.1552008-09-26
USD0.1552008-06-26
USD0.1552008-03-27
20074.69%USD 0.352USD0.19662007-12-19
USD0.1552007-09-26