MFS CONSERVATIVE ALLOCATION FUND 529B(EBCAX) USD 18.3
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20213.63%USD 0.665USD0.536142021-12-28
USD0.052832021-09-23
USD0.039972021-06-24
USD0.035892021-03-25
20202.54%USD 0.464USD0.337342020-12-29
USD0.047842020-09-24
USD0.052232020-06-25
USD0.026562020-03-26
20192.35%USD 0.43USD0.345342019-12-26
USD0.0312019-09-26
USD0.031972019-06-26
USD0.021972019-03-27
20183.17%USD 0.581USD0.498532018-12-27
USD0.040752018-09-26
USD0.029662018-06-27
USD0.0122018-03-27
20173.05%USD 0.559USD0.521462017-12-27
USD0.026132017-09-27
USD0.000182017-06-28
USD0.011212017-03-29
20161.38%USD 0.253USD0.216712016-12-28
USD0.024812016-09-27
USD0.002432016-06-28
USD0.009262016-03-29
20151.47%USD 0.268USD0.235672015-12-29
USD0.014522015-09-29
USD0.013262015-06-26
USD0.004782015-03-27
20141.74%USD 0.318USD0.144152014-12-30
USD0.0982014-12-29
USD0.022962014-09-26
USD0.031262014-06-27
USD0.02122014-03-28
20130.87%USD 0.159USD0.086542013-12-30
USD0.020422013-09-26
USD0.029272013-06-27
USD0.023242013-03-28
20121.02%USD 0.187USD0.085322012-12-28
USD0.047342012-09-26
USD0.051272012-06-27
USD0.002962012-03-23
20111.38%USD 0.252USD0.137882011-12-28
USD0.064472011-09-28
USD0.026362011-06-24
USD0.023722011-03-25
20101.14%USD 0.208USD0.208272010-12-29
20091.49%USD 0.272USD0.271862009-12-29
20083.63%USD 0.664USD0.369262008-12-29
USD0.2952008-12-26
20074.56%USD 0.835USD0.547112007-12-31
USD0.2882007-12-28
20063.78%USD 0.693USD0.419632006-12-28
USD0.2732006-12-27
20052.20%USD 0.403USD0.217892005-12-30
USD0.1852005-12-29
20040.65%USD 0.119USD0.119062004-12-31
20030.58%USD 0.106USD0.105542003-12-31