VALUE FUND R CLASS(AVURX) USD 7.95
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.26%USD 0.021USD0.02092023-03-21
202214.16%USD 1.126USD1.04442022-12-21
USD0.02452022-09-20
USD0.04012022-06-21
USD0.01672022-03-22
202115.02%USD 1.194USD1.1112021-12-21
USD0.02852021-09-21
USD0.03082021-06-22
USD0.02372021-03-23
20203.14%USD 0.25USD0.16162020-12-22
USD0.02852020-09-22
USD0.02822020-06-16
USD0.03162020-03-10
20198.73%USD 0.694USD0.02012019-12-20
USD0.59122019-10-22
USD0.02542019-09-17
USD0.0262019-06-18
USD0.03162019-03-19
20189.85%USD 0.783USD0.02682018-12-20
USD0.71042018-12-11
USD0.02042018-09-18
USD0.01582018-06-19
USD0.00952018-03-20
20177.56%USD 0.601USD0.02532017-12-26
USD0.51242017-12-12
USD0.03142017-09-19
USD0.01872017-06-20
USD0.01332017-03-21
20163.05%USD 0.243USD0.02772016-12-27
USD0.14922016-12-13
USD0.01682016-09-20
USD0.02062016-06-21
USD0.02832016-03-15
20157.66%USD 0.609USD0.03092015-12-28
USD0.52352015-12-08
USD0.02542015-09-08
USD0.02842015-06-09
USD0.00072015-03-10
20147.80%USD 0.62USD0.02992014-12-23
USD0.53162014-12-09
USD0.02382014-09-09
USD0.03262014-06-10
USD0.00222014-03-11
20131.05%USD 0.084USD0.03042013-12-23
USD0.0192013-09-10
USD0.02842013-06-11
USD0.00572013-03-12
20120.88%USD 0.07USD0.02612012-12-26
USD0.01932012-09-18
USD0.02452012-06-12
20110.93%USD 0.074USD0.0292011-12-27
USD0.01532011-09-20
USD0.02912011-06-14
USD0.00022011-03-22
20101.07%USD 0.085USD0.0252010-12-28
USD0.0352010-09-21
USD0.02322010-06-15
USD0.00222010-03-23
20091.09%USD 0.087USD0.02642009-12-29
USD0.01382009-09-15
USD0.02412009-06-16
USD0.02272009-03-17
20081.35%USD 0.107USD0.03672008-12-29
USD0.02662008-09-16
USD0.02412008-06-17
USD0.022008-03-18
200712.46%USD 0.991USD0.03972007-12-28
USD0.91162007-12-11
USD0.01712007-09-11
USD0.00962007-06-12
USD0.01292007-03-13
20067.48%USD 0.595USD0.02842006-12-27
USD0.51182006-12-12
USD0.0212006-09-12
USD0.0142006-06-13
USD0.01942006-03-14
20059.48%USD 0.754USD0.01712005-12-28
USD0.71922005-12-06
USD0.01772005-09-13