COLUMBIA BALANCED FUND COLUMBIA BALANCED FUND CLASS Z(CBALX) USD 43.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.34%USD 0.147USD0.146512023-03-16
20225.01%USD 2.168USD1.770512022-12-08
USD0.147162022-09-19
USD0.126952022-06-16
USD0.123412022-03-16
202110.93%USD 4.725USD4.39672021-12-08
USD0.11522021-09-17
USD0.10882021-06-16
USD0.1042021-03-16
20205.97%USD 2.581USD2.120372020-12-08
USD0.134732020-09-18
USD0.163362020-06-15
USD0.162242020-03-17
20194.18%USD 1.81USD1.297382019-12-06
USD0.188982019-09-18
USD0.185232019-06-13
USD0.137982019-03-18
20184.97%USD 2.149USD1.72942018-12-07
USD0.16342018-09-19
USD0.148782018-06-15
USD0.107012018-03-16
20172.67%USD 1.153USD0.789242017-12-08
USD0.136332017-09-19
USD0.122872017-06-16
USD0.104262017-03-17
20161.37%USD 0.594USD0.271362016-12-09
USD0.120912016-09-19
USD0.108862016-06-17
USD0.092372016-03-17
20153.32%USD 1.437USD0.914792015-12-10
USD0.23222015-09-22
USD0.229132015-06-18
USD0.060622015-03-20
20143.99%USD 1.725USD1.426342014-12-10
USD0.103012014-09-24
USD0.10232014-06-24
USD0.093122014-03-21
20130.77%USD 0.332USD0.105092013-12-09
USD0.082522013-09-24
USD0.070932013-06-21
USD0.073752013-03-22
20120.93%USD 0.401USD0.123572012-12-07
USD0.101982012-09-25
USD0.094992012-06-22
USD0.080112012-03-23
20112.86%USD 1.236USD0.933432011-12-06
USD0.10472011-09-23
USD0.10992011-06-24
USD0.08822011-03-22
20101.01%USD 0.436USD0.13312010-12-06
USD0.11872010-09-23
USD0.10012010-06-24
USD0.08372010-03-26
20091.15%USD 0.499USD0.12832009-12-04
USD0.11712009-09-28
USD0.12412009-06-24
USD0.12982009-03-27
20081.45%USD 0.626USD0.15782008-12-05
USD0.15992008-09-29
USD0.15792008-06-27
USD0.15032008-03-28
20071.69%USD 0.733USD0.31012007-12-10
USD0.15252007-09-27
USD0.14372007-06-28
USD0.12662007-03-29
20061.14%USD 0.492USD0.12962006-12-11
USD0.13652006-09-28
USD0.11552006-06-29
USD0.11042006-03-30
20051.03%USD 0.447USD0.1222005-12-15
USD0.1082005-09-26
USD0.0982005-06-24
USD0.1192005-03-24
20040.98%USD 0.425USD0.1532004-12-15
USD0.0962004-09-29
USD0.0882004-06-29
USD0.0882004-03-30
20030.89%USD 0.385USD0.1042003-12-12
USD0.0812003-09-25
USD0.1082003-06-25
USD0.0922003-03-26
20021.08%USD 0.465USD0.1072002-12-27
USD0.0482002-10-16
USD0.132002-09-30
USD0.052002-06-18
USD0.132002-03-28
20011.35%USD 0.585USD0.1452001-12-31
USD0.152001-09-28
USD0.142001-06-29
USD0.152001-03-30
20001.57%USD 0.68USD0.172000-12-29
USD0.172000-09-29
USD0.172000-06-30
USD0.172000-03-31