HARTFORD MULTI-ASSET INCOME FUND CLASS R4(HAFSX) USD 8.98
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.42%USD 0.038USD0.018292023-03-29
USD0.010712023-02-27
USD0.008652023-01-30
20225.24%USD 0.471USD0.287282022-12-28
USD0.015732022-11-29
USD0.012322022-10-28
USD0.020712022-09-28
USD0.020562022-08-30
USD0.026482022-07-28
USD0.017532022-06-28
USD0.016282022-05-27
USD0.016542022-04-28
USD0.026092022-03-29
USD0.006242022-02-25
USD0.0052022-01-28
20212.57%USD 0.23USD0.080922021-12-29
USD0.008462021-11-29
USD0.011182021-10-28
USD0.021082021-09-28
USD0.015012021-08-30
USD0.027112021-07-29
USD0.013522021-06-28
USD0.010812021-05-27
USD0.014892021-04-29
USD0.015852021-03-29
USD0.005972021-02-25
USD0.005672021-01-28
20201.94%USD 0.174USD0.060212020-12-29
USD0.005782020-11-25
USD0.010252020-10-29
USD0.010272020-09-28
USD0.006062020-08-28
USD0.024082020-07-30
USD0.009172020-06-26
USD0.007862020-05-28
USD0.013242020-04-29
USD0.015842020-03-27
USD0.006962020-02-27
USD0.004672020-01-30
20194.51%USD 0.405USD0.069752019-12-27
USD0.003672019-11-27
USD0.03232019-10-30
USD0.051472019-09-27
USD0.016632019-08-29
USD0.029792019-07-30
USD0.038642019-06-27
USD0.039052019-05-30
USD0.034562019-04-29
USD0.033112019-03-28
USD0.034522019-02-27
USD0.021222019-01-30
20186.95%USD 0.624USD0.255682018-12-27
USD0.038592018-11-29
USD0.037492018-10-30
USD0.0342018-09-27
USD0.035262018-08-30
USD0.034022018-07-30
USD0.037792018-06-28
USD0.033422018-05-30
USD0.036382018-04-27
USD0.02742018-03-28
USD0.030132018-02-27
USD0.023882018-01-30
20175.37%USD 0.482USD0.152382017-12-27
USD0.031422017-11-29
USD0.036742017-10-30
USD0.027792017-09-28
USD0.024812017-08-30
USD0.035262017-07-28
USD0.032912017-06-29
USD0.032522017-05-30
USD0.028592017-04-27
USD0.033562017-03-30
USD0.025672017-02-27
USD0.020382017-01-30
20164.43%USD 0.398USD0.052432016-12-28
USD0.025542016-11-29
USD0.032962016-10-28
USD0.034532016-09-29
USD0.027732016-08-29
USD0.034712016-07-28
USD0.030272016-06-29
USD0.039462016-05-27
USD0.032382016-04-28
USD0.033932016-03-30
USD0.035742016-02-26
USD0.018162016-01-28
20155.06%USD 0.455USD0.111792015-12-29
USD0.039732015-11-27
USD0.040442015-10-29
USD0.031492015-09-29
USD0.031662015-08-27
USD0.028572015-07-30
USD0.033372015-06-29
USD0.033542015-05-28
USD0.037442015-04-29
USD0.020282015-03-30
USD0.028452015-02-26
USD0.017882015-01-29
20143.25%USD 0.292USD0.138042014-12-30
USD0.024532014-11-26
USD0.026192014-10-29
USD0.027192014-09-29
USD0.029232014-08-28
USD0.018792014-07-30
USD0.011582014-06-26
USD0.016592014-05-29