BOYAR VALUE FUND INC BOYAR VALUE FUND INC(BOYAX) USD 27.26
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.49%USD 0.133USD0.13312022-12-09
20210.49%USD 0.132USD0.13232021-12-10
20201.87%USD 0.509USD0.50882020-12-14
20193.82%USD 1.041USD1.04112019-12-12
20184.48%USD 1.221USD1.22062018-12-13
20171.64%USD 0.448USD0.44762017-12-18
20161.54%USD 0.419USD0.41942016-12-21
20152.27%USD 0.62USD0.61992015-12-23
20141.63%USD 0.444USD0.21872014-12-15
USD0.22542014-09-16
20130.57%USD 0.156USD0.15582013-12-13
20120.18%USD 0.049USD0.04882012-12-13
20110.90%USD 0.245USD0.24472011-12-15
20090.06%USD 0.018USD0.01752009-12-29
20080.48%USD 0.13USD0.132008-12-30
20074.11%USD 1.121USD1.06752007-12-28
USD0.053252007-09-18
20062.44%USD 0.665USD0.66492006-12-28
20050.16%USD 0.043USD0.0432005-12-29
20010.01%USD 0.003USD0.00292001-12-31