HARTFORD MULTI-ASSET INCOME FUND CLASS Y(HAFYX) USD 8.96
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.50%USD 0.045USD0.020932023-03-29
USD0.013342023-02-27
USD0.01072023-01-30
20225.63%USD 0.504USD0.290572022-12-28
USD0.018692022-11-29
USD0.015032022-10-28
USD0.023282022-09-28
USD0.023492022-08-30
USD0.029352022-07-28
USD0.020282022-06-28
USD0.019252022-05-27
USD0.019532022-04-28
USD0.028972022-03-29
USD0.008812022-02-25
USD0.007242022-01-28
20212.94%USD 0.263USD0.084242021-12-29
USD0.011332021-11-29
USD0.013912021-10-28
USD0.023882021-09-28
USD0.017852021-08-30
USD0.029842021-07-29
USD0.016332021-06-28
USD0.013522021-05-27
USD0.017652021-04-29
USD0.018312021-03-29
USD0.008672021-02-25
USD0.007832021-01-28
20202.28%USD 0.204USD0.063342020-12-29
USD0.008362020-11-25
USD0.012452020-10-29
USD0.012632020-09-28
USD0.008192020-08-28
USD0.026372020-07-30
USD0.01192020-06-26
USD0.010352020-05-28
USD0.015612020-04-29
USD0.018442020-03-27
USD0.009812020-02-27
USD0.006982020-01-30
20194.42%USD 0.396USD0.073492019-12-27
USD0.023492019-10-30
USD0.047772019-09-27
USD0.016252019-08-29
USD0.028912019-07-30
USD0.038462019-06-27
USD0.039232019-05-30
USD0.035012019-04-29
USD0.035142019-03-28
USD0.036812019-02-27
USD0.021742019-01-30
20187.19%USD 0.644USD0.257952018-12-27
USD0.040492018-11-29
USD0.038672018-10-30
USD0.0362018-09-27
USD0.035922018-08-30
USD0.035852018-07-30
USD0.039742018-06-28
USD0.035692018-05-30
USD0.037452018-04-27
USD0.028952018-03-28
USD0.03142018-02-27
USD0.026152018-01-30
20175.63%USD 0.505USD0.154232017-12-27
USD0.032872017-11-29
USD0.038282017-10-30
USD0.029142017-09-28
USD0.026882017-08-30
USD0.037032017-07-28
USD0.034582017-06-29
USD0.034432017-05-30
USD0.0312017-04-27
USD0.036182017-03-30
USD0.0282017-02-27
USD0.022182017-01-30
20164.79%USD 0.429USD0.054852016-12-28
USD0.028232016-11-29
USD0.03592016-10-28
USD0.036982016-09-29
USD0.030242016-08-29
USD0.037342016-07-28
USD0.032592016-06-29
USD0.041952016-05-27
USD0.036852016-04-28
USD0.036242016-03-30
USD0.037852016-02-26
USD0.019862016-01-28
20155.38%USD 0.482USD0.114092015-12-29
USD0.041972015-11-27
USD0.042822015-10-29
USD0.033752015-09-29
USD0.033892015-08-27
USD0.0312015-07-30
USD0.035692015-06-29
USD0.036052015-05-28
USD0.03972015-04-29
USD0.022442015-03-30
USD0.030842015-02-26
USD0.019782015-01-29
20143.49%USD 0.312USD0.140852014-12-30
USD0.026972014-11-26
USD0.028552014-10-29
USD0.02972014-09-29
USD0.031732014-08-28
USD0.021232014-07-30
USD0.014852014-06-26
USD0.01852014-05-29