COLUMBIA DIVIDEND INCOME FUND COLUMBIA DIVIDEND INCOME FUND CLASS Z(GSFTX) USD 29.16
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.53%USD 0.154USD0.154032023-03-20
20223.84%USD 1.119USD0.71612022-12-13
USD0.141572022-09-21
USD0.125242022-06-21
USD0.136182022-03-18
20213.12%USD 0.909USD0.57122021-12-14
USD0.12272021-09-21
USD0.10182021-06-18
USD0.11322021-03-18
20201.54%USD 0.45USD0.111932020-12-11
USD0.104222020-09-22
USD0.113652020-06-17
USD0.120322020-03-20
20192.43%USD 0.71USD0.379432019-12-13
USD0.111992019-09-20
USD0.110262019-06-17
USD0.108262019-03-20
20185.15%USD 1.502USD1.185822018-12-13
USD0.10452018-09-21
USD0.105532018-06-21
USD0.105852018-03-21
20173.39%USD 0.989USD0.702062017-12-13
USD0.092072017-09-21
USD0.096112017-06-22
USD0.098782017-03-22
20162.81%USD 0.819USD0.545642016-12-14
USD0.081962016-09-22
USD0.092016-06-23
USD0.101152016-03-23
20154.99%USD 1.455USD1.094642015-12-14
USD0.122015-09-22
USD0.122015-06-22
USD0.122015-03-20
20145.59%USD 1.631USD1.324022014-12-16
USD0.100522014-09-24
USD0.100892014-06-24
USD0.105722014-03-21
20132.06%USD 0.599USD0.33962013-12-17
USD0.086182013-09-24
USD0.088272013-06-24
USD0.085342013-03-22
20121.31%USD 0.383USD0.098952012-12-18
USD0.093192012-09-25
USD0.098272012-06-22
USD0.0932012-03-23
20111.13%USD 0.331USD0.100422011-12-20
USD0.0792011-09-23
USD0.07622011-06-24
USD0.0752011-03-24
20101.06%USD 0.308USD0.08682010-12-20
USD0.0772010-09-21
USD0.0692010-06-24
USD0.07512010-03-24
20091.06%USD 0.309USD0.09182009-12-10
USD0.0742009-09-28
USD0.0682009-06-24
USD0.0752009-03-25
20081.16%USD 0.337USD0.08212008-12-05
USD0.0892008-09-29
USD0.0832008-06-27
USD0.0832008-03-26
20071.65%USD 0.48USD0.24922007-12-10
USD0.082007-09-27
USD0.0772007-06-28
USD0.0742007-03-29
20061.44%USD 0.42USD0.20482006-12-11
USD0.072006-09-20
USD0.072006-06-29
USD0.0752006-03-30
20050.91%USD 0.266USD0.0912005-12-12
USD0.062005-09-29
USD0.0612005-06-29
USD0.0542005-03-30
20040.68%USD 0.197USD0.0532004-12-13
USD0.0372004-09-09
USD0.042004-06-10
USD0.0672004-03-11
20030.63%USD 0.183USD0.0582003-12-16
USD0.0412003-09-11
USD0.0532003-06-12
USD0.0312003-03-13