USX:NAWCX - Voya Global High Dividend Low Volatility Fund C VOYA GLOBAL EQUITY FUND CLASS
Sector: Unknown, Industry: Unknown
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Summary


ExDate Payable Date Type Amount (%)
1 Apr 2025 2 Apr 2025 Projected USD 0.1254 (0.32%)
26 Dec 2024 27 Dec 2024 Projected USD 0.1821 (0.46%)
2 Oct 2024 3 Oct 2024 Projected USD 0.1601 (0.40%)
3 Jul 2024 5 Jul 2024 Projected USD 0.2961 (0.75%)
1 Apr 2024 2 Apr 2024 CASH USD 0.1254 (0.31%)
26 Dec 2023 27 Dec 2023 CASH USD 0.1821 (0.48%)
2 Oct 2023 3 Oct 2023 CASH USD 0.1601 (0.45%)
3 Jul 2023 5 Jul 2023 CASH USD 0.2961 (0.80%)
3 Apr 2023 4 Apr 2023 CASH USD 0.2216 (0.61%)
30 Dec 2022 3 Jan 2023 CASH USD 0.3748 (1.00%)
3 Oct 2022 4 Oct 2022 CASH USD 0.2217 (0.68%)
1 Jul 2022 5 Jul 2022 CASH USD 0.1966 (0.55%)
1 Apr 2022 1 Apr 2022 CASH USD 0.1625 (0.42%)
31 Dec 2021 3 Jan 2022 CASH USD 0.1048 (0.26%)
1 Oct 2021 4 Oct 2021 CASH USD 0.15 (0.40%)
1 Jul 2021 2 Jul 2021 CASH USD 0.1783 (0.47%)
1 Apr 2021 5 Apr 2021 CASH USD 0.204 (0.57%)
31 Dec 2020 4 Jan 2021 CASH USD 0.0446 (0.13%)
1 Oct 2020 2 Oct 2020 CASH USD 0.0282 (0.09%)
17 Sep 2020 18 Sep 2020 CASH USD 0.1069 (0.34%)
1 Jul 2020 2 Jul 2020 CASH USD 0.1256 (0.42%)
1 Apr 2020 2 Apr 2020 CASH USD 0.1546 (0.58%)
31 Dec 2019 2 Jan 2020 CASH USD 0.0707 (0.20%)
1 Oct 2019 2 Oct 2019 CASH USD 0.2013 (0.60%)
1 Jul 2019 2 Jul 2019 CASH USD 0.2701 (0.80%)
1 Apr 2019 2 Apr 2019 CASH USD 0.0276 (0.08%)
31 Dec 2018 2 Jan 2019 CASH USD 0.263 (0.89%)
1 Oct 2018 2 Oct 2018 CASH USD 0.4691 (1.37%)
15 Dec 2017 18 Dec 2017 CASH USD 0.3907 (1.16%)
16 Dec 2016 19 Dec 2016 CASH USD 0.1901 (0.68%)
17 Dec 2015 18 Dec 2015 CASH USD 0.2493 (0.91%)
21 May 2015 22 May 2015 CASH USD 0.2386 (0.78%)
17 Dec 2014 18 Dec 2014 CASH USD 0.7789 (2.77%)
10 Jul 2013 11 Jul 2013 CASH USD 0.3678 (1.40%)
16 Dec 2011 19 Dec 2011 CASH USD 3.0925 (10.90%)
21 Oct 2011 24 Oct 2011 CASH USD 0.0001 (0.0%)
16 Dec 2010 17 Dec 2010 CASH USD 0.3464 (1.10%)
15 Dec 2009 16 Dec 2009 CASH USD 0.074 (0.28%)
18 Dec 2007 20 Dec 2007 CASH USD 0.0189 (0.08%)
16 Dec 2005 20 Dec 2005 CASH USD 0.0202 (0.11%)
22 Jul 1998 11 Aug 1998* CASH USD 0.01 (0.05%)
15 Dec 1995 4 Jan 1996* CASH USD 0.009 (0.06%)
15 Dec 1994 4 Jan 1995* CASH USD 0.041 (0.29%)
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate

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