VALUE FUND Y CLASS(AVUYX) USD 7.98
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.44%USD 0.035USD0.0352023-03-21
202215.02%USD 1.198USD1.0652022-12-21
USD0.04222022-09-20
USD0.05712022-06-21
USD0.0342022-03-22
202115.98%USD 1.275USD1.13392021-12-21
USD0.04852021-09-21
USD0.05122021-06-22
USD0.04142021-03-23
20203.90%USD 0.311USD0.18082020-12-22
USD0.04432020-09-22
USD0.0442020-06-16
USD0.04182020-03-10
20199.59%USD 0.765USD0.03382019-12-20
USD0.5982019-10-22
USD0.04342019-09-17
USD0.04322019-06-18
USD0.04662019-03-19
201810.72%USD 0.856USD0.04452018-12-20
USD0.71042018-12-11
USD0.04032018-09-18
USD0.03492018-06-19
USD0.02572018-03-20
20178.09%USD 0.646USD0.04682017-12-26
USD0.51242017-12-12
USD0.05042017-09-19
USD0.0362017-06-20