AB INTERNATIONAL VALUE FUND CLASS C(ABICX) USD 13.97
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.29%USD 0.041USD0.04082022-12-08
20211.28%USD 0.179USD0.17852021-12-09
20190.01%USD 0.002USD0.00152019-12-12
20170.06%USD 0.008USD0.00822017-12-14
20150.51%USD 0.071USD0.07092015-12-17
20142.17%USD 0.304USD0.30372014-12-18
20133.88%USD 0.542USD0.54152013-12-20
20121.96%USD 0.274USD0.2742012-12-20
20112.80%USD 0.391USD0.3912011-12-22
20102.35%USD 0.328USD0.3282010-12-21
20090.56%USD 0.078USD0.0782009-12-22
20078.88%USD 1.241USD1.2412007-12-21
200610.29%USD 1.438USD1.4382006-12-14
20058.11%USD 1.133USD1.1332005-12-16
20043.21%USD 0.448USD0.4482004-12-21
20030.47%USD 0.065USD0.0652003-12-22
20020.47%USD 0.065USD0.0652002-12-23