Harbor Bond Fund - Retirement Class(HBFRX) USD 10.21
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.45%USD 0.046USD0.027412023-02-28
USD0.018542023-01-31
20223.39%USD 0.346USD0.09712022-12-19
USD0.025372022-11-29
USD0.023422022-10-28
USD0.033832022-09-29
USD0.02492022-08-30
USD0.020612022-07-28
USD0.029842022-06-29
USD0.020042022-05-26
USD0.019082022-04-28
USD0.024332022-03-30
USD0.016412022-02-25
USD0.011252022-01-28
20213.72%USD 0.38USD0.148512021-12-30
USD0.023182021-12-20
USD0.026992021-11-29
USD0.027592021-10-28
USD0.029012021-09-29
USD0.017652021-08-30
USD0.016082021-07-29
USD0.014392021-06-29
USD0.016722021-05-27
USD0.017212021-04-29
USD0.042412021-03-30
20204.04%USD 0.413USD0.217532020-12-17
USD0.067462020-09-29
USD0.081292020-06-29
USD0.046342020-03-30
20193.75%USD 0.383USD0.15172019-12-16
USD0.081052019-09-26
USD0.0942019-06-27
USD0.055882019-03-28
20183.26%USD 0.332USD0.141012018-12-17
USD0.0892018-09-27
USD0.102362018-06-28