INTERNATIONAL VALUE FUND C CLASS(ACCOX) USD 8.08
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.67%USD 0.216USD0.13432022-12-21
USD0.08182022-04-19
20213.84%USD 0.31USD0.21782021-12-21
USD0.09242021-03-23
20200.56%USD 0.046USD0.04552020-03-10
20192.42%USD 0.196USD0.05752019-12-17
USD0.13812019-03-19
20182.09%USD 0.169USD0.06142018-12-18
USD0.10722018-03-20
20172.28%USD 0.184USD0.0922017-12-19
USD0.09212017-03-21
20151.54%USD 0.125USD0.12452015-12-22
20145.07%USD 0.41USD0.25162014-12-16
USD0.15832014-03-18
20131.96%USD 0.159USD0.15862013-03-19
20120.73%USD 0.059USD0.05912012-03-06
20110.53%USD 0.043USD0.04312011-03-01
20100.92%USD 0.074USD0.07412010-03-16
20090.90%USD 0.073USD0.0732009-12-15
20083.64%USD 0.294USD0.07272008-12-16
USD0.22162008-03-11
20078.52%USD 0.689USD0.68242007-12-18
USD0.00642007-03-06
200662.95%USD 5.086USD5.08622006-12-12