THE HARTFORD DIVIDEND AND GROWTH FUND CLASS C(HDGCX) USD 28.69
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.14%USD 0.04USD0.040142023-03-29
20225.33%USD 1.528USD0.102592022-12-28
USD1.373592022-12-12
USD0.0212022-09-28
USD0.007582022-06-28
USD0.023632022-03-29
20215.96%USD 1.71USD0.054272021-12-29
USD1.617332021-12-10
USD0.005232021-09-28
USD0.001412021-06-28
USD0.032212021-03-29
20202.63%USD 0.756USD0.069062020-12-29
USD0.565122020-12-10
USD0.028482020-09-28
USD0.034422020-06-26
USD0.058752020-03-27
20193.28%USD 0.942USD0.061252019-12-27
USD0.747272019-12-10
USD0.041082019-09-27
USD0.041492019-06-27
USD0.051072019-03-28
20188.82%USD 2.532USD0.051172018-12-27
USD2.353422018-12-17
USD0.042018-09-27
USD0.042632018-06-28
USD0.044532018-03-28
20179.82%USD 2.817USD0.061292017-12-27
USD2.636272017-12-15
USD0.034552017-09-28
USD0.04412017-06-29
USD0.040332017-03-30
20163.41%USD 0.979USD0.079322016-12-28
USD0.785462016-12-16
USD0.036472016-09-29
USD0.033252016-06-29
USD0.044242016-03-30
20150.64%USD 0.183USD0.059492015-12-29
USD0.041522015-09-29
USD0.049942015-06-29
USD0.032262015-03-30
20148.63%USD 2.475USD0.053522014-12-30
USD2.295122014-12-12
USD0.037632014-09-29
USD0.05732014-06-26
USD0.031862014-03-27
20136.40%USD 1.837USD0.056582013-12-30
USD1.656052013-12-13
USD0.045782013-09-26
USD0.046092013-06-27
USD0.032272013-03-27
20121.91%USD 0.548USD0.071092012-12-20
USD0.347812012-11-20
USD0.048392012-09-26
USD0.041472012-06-26
USD0.039422012-03-27
20110.53%USD 0.152USD0.067842011-12-22
USD0.035092011-09-27
USD0.029032011-06-27
USD0.022011-03-28
20100.42%USD 0.12USD0.035412010-12-22
USD0.029162010-09-27
USD0.027612010-06-25
USD0.027592010-03-26
20090.47%USD 0.135USD0.038372009-12-22
USD0.020292009-09-25
USD0.038752009-06-25
USD0.037812009-03-26
20080.62%USD 0.179USD0.06072008-12-22
USD0.03622008-09-25
USD0.051582008-06-25
USD0.030122008-03-27
20074.80%USD 1.377USD0.042322007-12-20
USD1.239512007-11-14
USD0.025072007-09-25
USD0.044262007-06-26
USD0.026272007-03-27
20065.11%USD 1.467USD0.025012006-12-20
USD1.343762006-11-10
USD0.029782006-09-22
USD0.03572006-06-27
USD0.03272006-03-28
20052.96%USD 0.849USD0.0252005-12-21
USD0.761522005-11-10
USD0.0152005-09-27
USD0.02382005-06-27
USD0.0242005-03-28
20040.93%USD 0.268USD0.05052004-12-23
USD0.185312004-11-10
USD0.022004-09-27
USD0.01052004-06-25
USD0.00162004-03-26
20030.14%USD 0.04USD0.0062003-12-23
USD0.0112003-09-25
USD0.0132003-06-25
USD0.012003-03-26
20020.06%USD 0.017USD0.0092002-12-23
USD0.00222002-06-25
USD0.005952002-03-25
20010.22%USD 0.064USD0.019162001-12-21
USD0.0162001-09-25
USD0.0112001-06-26
USD0.0182001-03-27
20000.24%USD 0.068USD0.0242000-12-22
USD0.0242000-09-26
USD0.0162000-06-27
USD0.0042000-03-28