COLUMBIA BALANCED FUND COLUMBIA BALANCED FUND CLASS A(CBLAX) USD 43.35
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.28%USD 0.121USD0.120522023-03-16
20224.74%USD 2.054USD1.744112022-12-08
USD0.119052022-09-19
USD0.098132022-06-16
USD0.092892022-03-16
202110.60%USD 4.593USD4.36242021-12-08
USD0.08112021-09-17
USD0.07632021-06-16
USD0.07362021-03-16
20205.69%USD 2.469USD2.090492020-12-08
USD0.105782020-09-18
USD0.137792020-06-15
USD0.134672020-03-17
20193.94%USD 1.707USD1.270322019-12-06
USD0.162412019-09-18
USD0.15972019-06-13
USD0.114092019-03-18
20184.72%USD 2.045USD1.703652018-12-07
USD0.137032018-09-19
USD0.123472018-06-15
USD0.081222018-03-16
20172.43%USD 1.054USD0.76342017-12-08
USD0.110992017-09-19
USD0.098442017-06-16
USD0.08082017-03-17
20161.16%USD 0.503USD0.248012016-12-09
USD0.097372016-09-19
USD0.086282016-06-17
USD0.070952016-03-17
20153.10%USD 1.345USD0.891842015-12-10
USD0.209172015-09-22
USD0.205922015-06-18
USD0.038152015-03-20
20143.77%USD 1.635USD1.403162014-12-10
USD0.079982014-09-24
USD0.080422014-06-24
USD0.071922014-03-21
20130.58%USD 0.253USD0.08412013-12-09
USD0.062212013-09-24
USD0.051372013-06-21
USD0.055252013-03-22
20120.77%USD 0.333USD0.105592012-12-07
USD0.084352012-09-25
USD0.078032012-06-22
USD0.064682012-03-23
20112.71%USD 1.175USD0.922332011-12-06
USD0.08822011-09-23
USD0.09292011-06-24
USD0.07162011-03-22
20100.86%USD 0.375USD0.11712010-12-06
USD0.10382010-09-23
USD0.08492010-06-24
USD0.06892010-03-26
20091.03%USD 0.447USD0.11352009-12-04
USD0.10322009-09-28
USD0.11172009-06-24
USD0.11862009-03-27
20081.31%USD 0.568USD0.14572008-12-05
USD0.14492008-09-29
USD0.14242008-06-27
USD0.13512008-03-28
20071.55%USD 0.671USD0.29392007-12-10
USD0.13692007-09-27
USD0.12822007-06-28
USD0.11182007-03-29
20061.01%USD 0.436USD0.11492006-12-11
USD0.12262006-09-28
USD0.10172006-06-29
USD0.09662006-03-30
20050.91%USD 0.394USD0.1092005-12-15
USD0.0942005-09-26
USD0.0852005-06-24
USD0.1062005-03-24
20040.86%USD 0.374USD0.142004-12-15
USD0.0832004-09-29
USD0.0762004-06-29
USD0.0752004-03-30
20030.63%USD 0.273USD0.0782003-12-12
USD0.0512003-09-25
USD0.0732003-06-25
USD0.0712003-03-26