BALANCED FUND CLASS A(SVBAX) USD 23.67
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.33%USD 0.079USD0.07882023-03-24
20221.52%USD 0.361USD0.122322022-12-19
USD0.094332022-09-23
USD0.075462022-06-23
USD0.068472022-03-24
20213.12%USD 0.739USD0.547792021-12-17
USD0.075292021-09-23
USD0.059272021-06-24
USD0.057052021-03-25
20201.65%USD 0.39USD0.182072020-12-18
USD0.061932020-09-24
USD0.07182020-06-24
USD0.074172020-03-25
20191.98%USD 0.468USD0.244282019-12-13
USD0.074892019-09-24
USD0.074032019-06-24
USD0.074782019-03-25
20186.14%USD 1.454USD1.212352018-12-14
USD0.081842018-09-24
USD0.08482018-06-25
USD0.074892018-03-26
20173.44%USD 0.814USD0.572522017-12-15
USD0.080262017-09-25
USD0.07982017-06-26
USD0.081722017-03-27
20161.34%USD 0.318USD0.083262016-12-16
USD0.077622016-09-26
USD0.081482016-06-27
USD0.075452016-03-28
20153.76%USD 0.89USD0.605412015-12-16
USD0.094072015-09-25
USD0.097492015-06-25
USD0.092822015-03-25
20144.06%USD 0.96USD0.666292014-12-16
USD0.09452014-09-25
USD0.099992014-06-25
USD0.099452014-03-25
20134.68%USD 1.107USD0.838812013-12-16
USD0.083952013-09-25
USD0.093622013-06-25
USD0.090582013-03-25
20122.55%USD 0.603USD0.44612012-12-17
USD0.049092012-09-25
USD0.056062012-06-26
USD0.052022012-03-27
20110.70%USD 0.165USD0.069592011-12-15
USD0.019492011-09-26
USD0.028492011-06-24
USD0.04792011-03-25
20101.16%USD 0.274USD0.146242010-12-20
USD0.044872010-09-16
USD0.039242010-06-17
USD0.044142010-03-18
20090.79%USD 0.187USD0.04382009-12-14
USD0.054172009-09-17
USD0.049452009-06-19
USD0.042009-03-19
20081.06%USD 0.25USD0.075652008-12-15
USD0.058392008-09-18
USD0.060372008-06-19
USD0.055432008-03-19
20073.51%USD 0.83USD0.641732007-12-13
USD0.072322007-09-19
USD0.075062007-06-20
USD0.041072007-03-21
20064.12%USD 0.974USD0.774212006-12-20
USD0.0392006-12-19
USD0.063292006-09-20
USD0.051972006-06-21
USD0.045872006-03-22
20052.77%USD 0.656USD0.492332005-12-21
USD0.042005-12-20
USD0.037862005-09-21
USD0.04292005-06-22
USD0.042692005-03-23
20040.96%USD 0.227USD0.080352004-12-22
USD0.049252004-09-22
USD0.040962004-06-23
USD0.056052004-03-24
20030.82%USD 0.194USD0.057782003-12-17
USD0.033982003-09-24
USD0.04652003-06-25
USD0.055532003-03-26
20021.00%USD 0.238USD0.054222002-12-11
USD0.050052002-09-25
USD0.069652002-06-26
USD0.063842002-03-27
20011.37%USD 0.324USD0.06432001-12-12
USD0.086922001-09-26
USD0.08672001-06-27
USD0.086272001-03-28
20004.33%USD 1.025USD0.50662000-12-13
USD0.0792000-12-12
USD0.071132000-09-27
USD0.0952000-09-26
USD0.058272000-06-28
USD0.0822000-06-27
USD0.055172000-03-29
USD0.0782000-03-28