MFS GLOBAL TOTAL RETURN FUND C(MFWCX) USD 16.72
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.53%USD 0.423USD0.423192022-12-15
202110.42%USD 1.742USD1.668072021-12-16
USD0.007652021-09-23
USD0.046332021-06-24
USD0.020352021-03-25
20207.23%USD 1.209USD1.152982020-12-17
USD0.016522020-09-24
USD0.021142020-06-25
USD0.018632020-03-26
20194.02%USD 0.673USD0.59712019-12-19
USD0.000972019-09-26
USD0.074132019-06-26
USD0.000362019-03-27
20182.42%USD 0.404USD0.286362018-12-20
USD0.02142018-09-26
USD0.080382018-06-27
USD0.015832018-03-27
20172.07%USD 0.346USD0.257812017-12-21
USD0.031762017-09-27
USD0.056482017-06-28
20160.51%USD 0.085USD0.082632016-12-13
USD0.002532016-06-28
20153.80%USD 0.636USD0.625922015-12-11
USD0.012015-12-10
20143.07%USD 0.513USD0.301622014-12-12
USD0.1172014-12-11
USD0.033992014-09-26
USD0.048722014-06-27
USD0.01182014-03-28
20131.73%USD 0.289USD0.173872013-12-11
USD0.1052013-12-10
USD0.004822013-06-27
USD0.002492013-03-28
USD0.0032013-03-27
20120.87%USD 0.146USD0.104062012-12-12
USD0.004032012-09-26
USD0.02322012-06-27
USD0.007372012-03-23
USD0.0072012-03-22
20111.59%USD 0.266USD0.157822011-12-09
USD0.077632011-09-28
USD0.013512011-06-24
USD0.016982011-03-25
20101.78%USD 0.298USD0.188422010-12-10
USD0.03492010-09-29
USD0.016192010-06-25
USD0.042010-04-30
USD0.01862010-03-26
20090.81%USD 0.136USD0.087892009-12-11
USD0.002332009-09-29
USD0.0022009-09-28
USD0.019662009-06-26
USD0.024072009-03-27
20085.18%USD 0.866USD0.349092008-12-12
USD0.2482008-12-11
USD0.089482008-09-26
USD0.088982008-06-27
USD0.090732008-03-28
20079.63%USD 1.611USD1.248732007-12-12
USD0.2042007-12-11
USD0.097882007-09-27
USD0.029422007-06-28
USD0.03072007-03-29
20067.37%USD 1.232USD1.102872006-12-08
USD0.0522006-12-07
USD0.022112006-09-28
USD0.047132006-06-29
USD0.007632006-03-30
20057.66%USD 1.28USD1.136442005-12-16
USD0.0262005-12-15
USD0.117532005-06-29
200410.47%USD 1.75USD1.344522004-12-17
USD0.2922004-12-16
USD0.113282004-06-29
20031.60%USD 0.268USD0.185872003-12-18
USD0.08182003-06-27
20020.59%USD 0.098USD0.058652002-12-18
USD0.039352002-06-27
20010.49%USD 0.082USD0.082012001-06-28
20008.70%USD 1.455USD1.096662000-12-19
USD0.2752000-12-18
USD0.083382000-06-29