AB RELATIVE VALUE FUND INC. CLASS R(CBBRX) USD 5.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.46%USD 0.441USD0.44072022-12-09
202110.79%USD 0.638USD0.63762021-12-10
20200.85%USD 0.05USD0.05022020-12-11
20193.86%USD 0.228USD0.2282019-12-13
201812.09%USD 0.714USD0.71432018-12-14
201712.05%USD 0.712USD0.71222017-12-15
20166.33%USD 0.374USD0.37412016-12-16
20153.63%USD 0.215USD0.21482015-12-18
20145.09%USD 0.301USD0.30082014-12-19
20130.56%USD 0.033USD0.03322013-12-18
20120.49%USD 0.029USD0.02912012-12-19
20110.60%USD 0.036USD0.03552011-12-15
20100.39%USD 0.023USD0.0232010-12-21
20090.54%USD 0.032USD0.0322009-12-22
20080.76%USD 0.045USD0.0452008-12-22
20077.28%USD 0.43USD0.432007-12-21
20060.85%USD 0.05USD0.052006-12-14
20050.85%USD 0.05USD0.0422005-12-22
USD0.0082005-03-23
20040.54%USD 0.032USD0.0082004-12-21
USD0.0082004-09-23
USD0.0082004-06-24
USD0.0082004-03-25