Voya Asia Pacific High Dividend Equity Income Fund(IAE) USD 6.27
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20232.55%USD 0.16USD0.162023-04-03
202213.72%USD 0.86USD0.2152022-12-29
USD0.2152022-10-03
USD0.2152022-07-01
USD0.2152022-04-01
202113.72%USD 0.86USD0.2152021-12-30
USD0.2152021-10-01
USD0.2152021-07-01
USD0.2152021-04-01
202013.72%USD 0.86USD0.2152020-12-30
USD0.2152020-10-01
USD0.2152020-07-01
USD0.2152020-04-01
20196.59%USD 0.413USD0.07042019-12-30
USD0.07042019-10-01
USD0.06712019-07-01
USD0.2052019-04-01
201813.08%USD 0.82USD0.2052018-12-28
USD0.2052018-10-01
USD0.2052018-07-02
USD0.2052018-04-02
201713.08%USD 0.82USD0.2052017-12-28
USD0.2052017-10-03
USD0.2052017-07-03
USD0.2052017-04-03
201615.47%USD 0.97USD0.2052016-12-28
USD0.2552016-10-03
USD0.2552016-07-01
USD0.2552016-04-01
201518.34%USD 1.15USD0.2552015-12-29
USD0.2552015-10-01
USD0.322015-07-01
USD0.322015-04-01
201420.41%USD 1.28USD0.322014-12-29
USD0.322014-10-01
USD0.322014-07-01
USD0.322014-04-01
201321.53%USD 1.35USD0.322013-12-27
USD0.322013-10-01
USD0.3552013-07-01
USD0.3552013-04-01
201223.96%USD 1.502USD0.3552012-12-27
USD0.3552012-10-01
USD0.3962012-07-02
USD0.3962012-04-02
201126.70%USD 1.674USD0.3962011-12-28
USD0.4262011-10-03
USD0.4262011-07-01
USD0.4262011-04-01
201027.53%USD 1.726USD0.4262010-12-29
USD0.4262010-10-01
USD0.4262010-07-01
USD0.4482010-04-01
200930.97%USD 1.942USD0.4482009-12-29
USD0.4982009-10-01
USD0.4982009-06-30
USD0.4982009-04-01
200831.77%USD 1.992USD0.4982008-12-29
USD0.4982008-10-01
USD0.4982008-07-01
USD0.4982008-04-01
200726.89%USD 1.686USD0.7352007-12-27
USD0.4982007-10-01
USD0.4532007-06-13