AMERICAN BEACON BALANCED FUND A CLASS(ABFAX) USD 10.97
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.49%USD 0.054USD0.05372023-04-03
202212.40%USD 1.36USD1.20792022-12-22
USD0.06172022-10-03
USD0.05112022-07-01
USD0.03912022-04-01
202113.04%USD 1.43USD1.21742021-12-22
USD0.12642021-10-01
USD0.04012021-07-01
USD0.04632021-04-01
202017.34%USD 1.902USD1.69542020-12-22
USD0.10782020-10-01
USD0.03612020-07-01
USD0.06262020-04-01
201912.68%USD 1.391USD1.1672019-12-20
USD0.0722019-10-01
USD0.07692019-07-01
USD0.07542019-04-01
201812.16%USD 1.334USD1.12482018-12-20
USD0.0682018-10-01
USD0.07612018-07-02
USD0.06532018-04-02
201711.56%USD 1.268USD1.03372017-12-21
USD0.05582017-10-02
USD0.06642017-07-03
USD0.11222017-04-03
20162.23%USD 0.244USD0.06392016-12-22
USD0.05282016-10-03
USD0.0622016-07-01
USD0.06552016-04-01
20158.60%USD 0.943USD0.75882015-12-22
USD0.0582015-10-01
USD0.06342015-07-01
USD0.0632015-04-01
201410.11%USD 1.109USD0.77992014-12-22
USD0.13322014-10-01
USD0.0682014-07-01
USD0.1282014-04-01
20139.84%USD 1.08USD0.83532013-12-20
USD0.05882013-10-01
USD0.05762013-07-01
USD0.1282013-04-01
20125.23%USD 0.573USD0.30842012-12-20
USD0.07082012-10-01
USD0.05542012-07-02
USD0.13862012-04-02
20112.70%USD 0.296USD0.13912011-12-22
USD0.05912011-10-03
USD0.05092011-07-01
USD0.04672011-04-01
20102.27%USD 0.249USD0.242010-12-22
USD0.00872010-10-01