MFS VALUE FUND R6(MEIKX) USD 47.42
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.44%USD 0.207USD0.206512023-03-23
20227.77%USD 3.685USD2.953422022-12-15
USD0.255792022-09-22
USD0.246772022-06-23
USD0.229462022-03-24
20213.93%USD 1.865USD1.259992021-12-16
USD0.206572021-09-23
USD0.205812021-06-24
USD0.192882021-03-25
20202.60%USD 1.232USD0.631872020-12-17
USD0.197032020-09-24
USD0.193632020-06-25
USD0.209132020-03-26
20193.07%USD 1.458USD0.741292019-12-19
USD0.203222019-09-26
USD0.349852019-06-26
USD0.163412019-03-27
20182.80%USD 1.326USD0.793252018-12-20
USD0.156032018-09-26
USD0.228022018-06-27
USD0.148972018-03-27
20173.99%USD 1.893USD1.424552017-12-21
USD0.150492017-09-27
USD0.165432017-06-28
USD0.152472017-03-29
20162.92%USD 1.385USD0.928722016-12-13
USD0.137662016-09-27
USD0.180712016-06-28
USD0.137562016-03-29
20154.65%USD 2.203USD1.432872015-12-11
USD0.1982015-12-10
USD0.162462015-09-29
USD0.17822015-06-26
USD0.231782015-03-27
20144.08%USD 1.933USD1.110512014-12-12
USD0.1892014-12-11
USD0.200112014-09-26
USD0.174912014-06-27
USD0.25822014-03-28
20132.85%USD 1.349USD0.756752013-12-11
USD0.1762013-12-10
USD0.13082013-09-26
USD0.157572013-06-27
USD0.128242013-03-28
20121.61%USD 0.765USD0.353642012-12-12
USD0.1692012-12-11
USD0.111062012-09-26
USD0.1312012-06-26