MFS INTERNATIONAL VALUE FUND R2(MINFX) USD 36.07
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202214.13%USD 5.098USD5.09772022-12-08
202110.98%USD 3.961USD3.960972021-12-09
20207.26%USD 2.619USD2.619412020-12-10
20194.57%USD 1.649USD1.64882019-12-12
20184.31%USD 1.556USD1.555782018-12-13
20172.77%USD 0.999USD0.998832017-12-14
20161.37%USD 0.494USD0.494322016-12-15
20152.61%USD 0.943USD0.943042015-12-15
20144.53%USD 1.633USD1.013282014-12-17
USD0.622014-12-16
20133.04%USD 1.098USD0.046892013-12-30
USD0.57332013-12-13
USD0.4782013-12-12
20121.12%USD 0.405USD0.40532012-12-14
20110.84%USD 0.303USD0.30312011-12-16
20100.73%USD 0.263USD0.26292010-12-17
20090.63%USD 0.226USD0.22612009-12-18
20087.47%USD 2.695USD2.10372008-12-17
USD0.5912008-12-16