COLUMBIA BALANCED FUND COLUMBIA BALANCED FUND CLASS C(CBLCX) USD 43.14
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.10%USD 0.043USD0.042532023-03-16
20223.97%USD 1.713USD1.664932022-12-08
USD0.034732022-09-19
USD0.011682022-06-16
USD0.001362022-03-16
20219.94%USD 4.288USD4.28822021-12-08
20204.94%USD 2.133USD2.000852020-12-08
USD0.018912020-09-18
USD0.061072020-06-15
USD0.051972020-03-17
20193.24%USD 1.397USD1.189122019-12-06
USD0.082682019-09-18
USD0.083112019-06-13
USD0.042412019-03-18
20184.02%USD 1.736USD1.626392018-12-07
USD0.057892018-09-19
USD0.047542018-06-15
USD0.003852018-03-16
20171.75%USD 0.756USD0.685872017-12-08
USD0.034962017-09-19
USD0.025152017-06-16
USD0.010422017-03-17
20160.54%USD 0.231USD0.178892016-12-09
USD0.026762016-09-14
USD0.018522016-06-17
USD0.006682016-03-17
20152.55%USD 1.098USD0.822082015-12-10
USD0.140082015-09-22
USD0.136292015-06-18
20143.17%USD 1.368USD1.333632014-12-10
USD0.010882014-09-24
USD0.014812014-06-24
USD0.008332014-03-21
20130.05%USD 0.023USD0.021142013-12-09
USD0.00132013-09-24
USD0.000122013-03-22
20120.29%USD 0.124USD0.051672012-12-07
USD0.031472012-09-25
USD0.027142012-06-22
USD0.013372012-03-23
20112.25%USD 0.971USD0.869742011-12-06
USD0.03812011-09-23
USD0.04172011-06-24
USD0.02172011-03-22
20100.44%USD 0.192USD0.0692010-12-06
USD0.05892010-09-23
USD0.03932010-06-24
USD0.02442010-03-26
20090.67%USD 0.29USD0.06912009-12-04
USD0.06172009-09-28
USD0.07442009-06-24
USD0.08492009-03-27
20080.91%USD 0.395USD0.10942008-12-05
USD0.10012008-09-29
USD0.09582008-06-27
USD0.08932008-03-28
20071.12%USD 0.485USD0.24612007-12-10
USD0.092007-09-27
USD0.08182007-06-28
USD0.06732007-03-29
20060.62%USD 0.267USD0.07082006-12-11
USD0.08092006-09-28
USD0.06032006-06-29
USD0.05532006-03-30
20050.54%USD 0.234USD0.0682005-12-15
USD0.0532005-09-26
USD0.0462005-06-24
USD0.0672005-03-24
20040.51%USD 0.222USD0.1012004-12-15
USD0.0462004-09-29
USD0.0382004-06-29
USD0.0372004-03-30
20030.10%USD 0.044USD0.0442003-12-12