HENNESSY BALANCED FUND INVESTOR CLASS(HBFBX) USD 11.52
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.46%USD 0.053USD0.0262023-02-28
USD0.0272023-01-31
202213.49%USD 1.554USD0.0262022-12-30
USD0.036832022-12-28
USD1.327862022-12-08
USD0.0242022-11-30
USD0.0212022-10-31
USD0.025852022-09-30
USD0.0232022-08-31
USD0.0212022-07-29
USD0.009852022-06-30
USD0.0162022-05-31
USD0.0122022-04-29
USD0.003322022-03-31
USD0.0042022-02-28
USD0.0032022-01-31
20214.00%USD 0.461USD0.0062021-12-31
USD0.015032021-12-29
USD0.428332021-12-07
USD0.0012021-11-30
USD0.0012021-10-29
USD0.00082021-09-30
USD0.0022021-06-30
USD0.006422021-03-31
20200.96%USD 0.111USD0.024612020-12-29
USD0.029492020-09-30
USD0.027812020-06-30
USD0.029162020-03-31
20195.49%USD 0.632USD0.034112019-12-27
USD0.498342019-12-06
USD0.028192019-09-30
USD0.036152019-06-28
USD0.035192019-03-29
20185.58%USD 0.643USD0.029512018-12-27
USD0.546752018-12-07
USD0.028422018-09-28
USD0.02222018-06-29
USD0.016082018-03-29
20178.12%USD 0.935USD0.017942017-12-27
USD0.879422017-12-07
USD0.016872017-09-29
USD0.010492017-06-30
USD0.010552017-03-31
20168.23%USD 0.948USD0.011672016-12-28
USD0.903222016-12-07
USD0.010192016-09-30
USD0.020032016-06-30
USD0.002882016-03-31
20152.65%USD 0.306USD0.011892015-12-29
USD0.270782015-12-09
USD0.00682015-09-30
USD0.010282015-06-30
USD0.005892015-03-31
20145.36%USD 0.618USD0.008632014-12-31
USD0.596722014-12-08
USD0.007592014-09-30
USD0.001652014-06-30
USD0.003412014-03-31
20133.86%USD 0.444USD0.442072013-12-10
USD0.002362013-03-28
20120.38%USD 0.044USD0.017232012-12-31
USD0.005522012-09-28
USD0.011912012-06-29
USD0.009442012-03-30
20110.39%USD 0.045USD0.015512011-12-27
USD0.010182011-09-30
USD0.010572011-06-30
USD0.009122011-03-31
20100.50%USD 0.058USD0.015732010-12-30
USD0.016832010-09-30
USD0.016652010-06-30
USD0.008722010-03-31
20090.63%USD 0.072USD0.0042009-12-29
USD0.011812009-09-30
USD0.016682009-06-30
USD0.039952009-03-31
20081.93%USD 0.222USD0.041872008-12-30
USD0.050512008-09-30
USD0.063562008-06-30
USD0.06612008-03-31
20078.13%USD 0.936USD0.079732007-12-28
USD0.586422007-11-29
USD0.108052007-09-28
USD0.077712007-06-29
USD0.084442007-03-30
20062.85%USD 0.328USD0.117182006-12-28
USD0.09582006-09-29
USD0.048122006-06-30
USD0.067322006-03-31
20052.00%USD 0.23USD0.072192005-12-22
USD0.066972005-09-29
USD0.038172005-06-30
USD0.052832005-03-31
20040.79%USD 0.091USD0.012652004-12-22
USD0.02862004-09-29
USD0.0342004-06-29
USD0.015442004-03-30
20031.85%USD 0.213USD0.031992003-12-23
USD0.08692003-11-21
USD0.0242003-09-29
USD0.038742003-06-30
USD0.031242003-03-28
20021.68%USD 0.193USD0.041162002-12-23
USD0.056942002-11-22
USD0.029322002-09-25
USD0.035682002-06-27
USD0.030092002-03-28
20015.67%USD 0.653USD0.0372001-12-14
USD0.376342001-11-26
USD0.0452001-09-28
USD0.0542001-06-28
USD0.0682001-03-30
USD0.0732001-01-02
20002.83%USD 0.326USD0.1152000-11-17
USD0.0762000-10-02
USD0.0692000-06-30
USD0.0662000-03-31