COLUMBIA CAPITAL ALLOCATION MODERATE PORTFOLIO COLUMBIA CAPITAL ALLOCATION MODERATE PORTFOLIO CLASS A(ABUAX) USD 9.51
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.44%USD 0.042USD0.041512023-03-29
20225.62%USD 0.535USD0.065592022-12-21
USD0.031192022-09-28
USD0.408762022-06-28
USD0.029212022-03-29
202116.06%USD 1.527USD0.56582021-12-22
USD0.04842021-09-28
USD0.85712021-06-28
USD0.05592021-03-29
20206.52%USD 0.62USD0.172392020-12-21
USD0.037632020-09-28
USD0.376852020-06-26
USD0.032992020-03-27
20197.06%USD 0.672USD0.387862019-12-20
USD0.047772019-09-26
USD0.201682019-06-26
USD0.034562019-03-27
20188.17%USD 0.777USD0.300052018-12-21
USD0.037732018-09-26
USD0.412452018-06-27
USD0.026742018-03-27
20177.94%USD 0.755USD0.423472017-12-21
USD0.034042017-09-27
USD0.267662017-06-27
USD0.029482017-03-28
20165.08%USD 0.483USD0.132842016-12-22
USD0.02652016-09-27
USD0.291062016-06-28
USD0.032812016-03-28
20159.09%USD 0.864USD0.440572015-12-22
USD0.026292015-09-28
USD0.359952015-06-26
USD0.037572015-03-27
201413.73%USD 1.306USD0.56182014-12-22
USD0.023372014-09-29
USD0.695792014-06-26
USD0.025122014-03-28
20137.06%USD 0.671USD0.423082013-12-23
USD0.03232013-09-26
USD0.152322013-06-26
USD0.063242013-03-26
20123.10%USD 0.295USD0.149182012-12-21
USD0.033062012-09-27
USD0.049192012-06-27
USD0.063292012-03-27
20112.68%USD 0.255USD0.089142011-12-21
USD0.051342011-09-26
USD0.050512011-06-24
USD0.063562011-03-25
20102.84%USD 0.27USD0.1182010-12-21
USD0.0442010-09-23
USD0.0442010-06-22
USD0.0642010-03-23
20092.66%USD 0.253USD0.072009-12-22
USD0.0592009-09-25
USD0.0482009-06-25
USD0.0762009-03-26
20082.46%USD 0.234USD0.0752008-12-22
USD0.0442008-09-26
USD0.042008-06-27
USD0.0752008-03-28
20074.67%USD 0.444USD0.2772007-12-20
USD0.072007-09-25
USD0.0532007-06-26
USD0.0442007-03-27
20064.24%USD 0.403USD0.2312006-12-21
USD0.0532006-09-27
USD0.0512006-06-27
USD0.0682006-03-28
20052.82%USD 0.268USD0.1682005-12-23
USD0.0392005-09-28
USD0.0412005-06-27
USD0.022005-03-24
20041.62%USD 0.154USD0.1192004-12-23
USD0.0242004-09-23
USD0.0112004-06-23