AB RELATIVE VALUE FUND INC. CLASS K(CBBKX) USD 5.92
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.87%USD 0.466USD0.46582022-12-09
202111.17%USD 0.661USD0.66112021-12-10
20201.12%USD 0.066USD0.06622020-12-11
20194.19%USD 0.248USD0.24782019-12-13
201812.40%USD 0.734USD0.73432018-12-14
201712.66%USD 0.749USD0.74932017-12-15
20166.57%USD 0.389USD0.3892016-12-16
20153.88%USD 0.229USD0.22942015-12-18
20145.31%USD 0.315USD0.31462014-12-19
20130.92%USD 0.054USD0.05442013-12-18
20120.58%USD 0.034USD0.03412012-12-19
20110.79%USD 0.047USD0.0472011-12-15
20100.49%USD 0.029USD0.0292010-12-21
20090.66%USD 0.039USD0.0392009-12-22
20080.86%USD 0.051USD0.0512008-12-22
20077.89%USD 0.467USD0.4672007-12-21
20061.15%USD 0.068USD0.0682006-12-14
20050.78%USD 0.046USD0.0352005-12-22
USD0.0112005-03-23