MFS CONSERVATIVE ALLOCATION FUND R2(MCARX) USD 15.34
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.24%USD 0.036USD0.036382023-03-23
20223.11%USD 0.478USD0.342262022-12-28
USD0.066722022-09-22
USD0.050772022-06-23
USD0.017912022-03-24
20214.09%USD 0.628USD0.525282021-12-28
USD0.044232021-09-23
USD0.031192021-06-24
USD0.02742021-03-25
20202.94%USD 0.451USD0.327672020-12-29
USD0.038552020-09-24
USD0.045352020-06-25
USD0.039762020-03-26
20193.39%USD 0.519USD0.369732019-12-26
USD0.056272019-09-26
USD0.052982019-06-26
USD0.040442019-03-27
20184.34%USD 0.666USD0.521992018-12-27
USD0.061552018-09-26
USD0.050992018-06-27
USD0.031782018-03-27
20174.19%USD 0.642USD0.545612017-12-27
USD0.046632017-09-27
USD0.020552017-06-28
USD0.029282017-03-29
20162.17%USD 0.332USD0.23952016-12-28
USD0.045072016-09-27
USD0.022012016-06-28
USD0.025742016-03-29
20152.30%USD 0.352USD0.257952015-12-29
USD0.035022015-09-29
USD0.034262015-06-26
USD0.025022015-03-27
20142.77%USD 0.425USD0.166992014-12-30
USD0.1212014-12-29
USD0.043472014-09-26
USD0.052612014-06-27
USD0.04052014-03-28
20131.57%USD 0.241USD0.108662013-12-30
USD0.04052013-09-26
USD0.050562013-06-27
USD0.041342013-03-28
20121.74%USD 0.267USD0.106952012-12-28
USD0.066932012-09-26
USD0.072472012-06-27
USD0.020192012-03-23
20112.16%USD 0.332USD0.158512011-12-28
USD0.085232011-09-28
USD0.047072011-06-24
USD0.041282011-03-25
20101.82%USD 0.28USD0.279672010-12-29
20092.13%USD 0.327USD0.326882009-12-29
20085.03%USD 0.771USD0.423182008-12-29
USD0.3482008-12-26
20076.33%USD 0.971USD0.614982007-12-31
USD0.3562007-12-28
20065.68%USD 0.871USD0.508992006-12-28
USD0.3622006-12-27
20053.98%USD 0.611USD0.321572005-12-30
USD0.2892005-12-29
20041.39%USD 0.213USD0.213182004-12-31
20031.24%USD 0.19USD0.189762003-12-31