THE HARTFORD DIVIDEND AND GROWTH FUND CLASS Y(HDGYX) USD 31.04
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.36%USD 0.113USD0.112972023-03-29
20225.93%USD 1.839USD0.177732022-12-28
USD1.373592022-12-12
USD0.098852022-09-28
USD0.085182022-06-28
USD0.10392022-03-29
20216.56%USD 2.037USD0.134922021-12-29
USD1.617332021-12-10
USD0.090432021-09-28
USD0.086062021-06-28
USD0.108192021-03-29
20203.29%USD 1.023USD0.138562020-12-29
USD0.565122020-12-10
USD0.096692020-09-28
USD0.097772020-06-26
USD0.124582020-03-27
20193.88%USD 1.203USD0.126262019-12-27
USD0.747272019-12-10
USD0.106062019-09-27
USD0.104082019-06-27
USD0.119562019-03-28
20189.06%USD 2.814USD0.124382018-12-27
USD2.353422018-12-17
USD0.1122018-09-27
USD0.110962018-06-28
USD0.112752018-03-28
20179.94%USD 3.085USD0.127232017-12-27
USD2.636272017-12-15
USD0.102762017-09-28
USD0.111142017-06-29
USD0.10732017-03-30
20163.96%USD 1.229USD0.144362016-12-28
USD0.785462016-12-16
USD0.101072016-09-29
USD0.095482016-06-29
USD0.102512016-03-30
20151.45%USD 0.451USD0.124932015-12-29
USD0.108672015-09-29
USD0.118932015-06-29
USD0.098692015-03-30
20148.87%USD 2.753USD0.120332014-12-30
USD2.295122014-12-12
USD0.110592014-09-29
USD0.127932014-06-26
USD0.09922014-03-27
20136.76%USD 2.097USD0.123062013-12-30
USD1.656052013-12-13
USD0.113682013-09-26
USD0.111292013-06-27
USD0.093312013-03-27
20122.51%USD 0.78USD0.130992012-12-20
USD0.347812012-11-20
USD0.107052012-09-26
USD0.098242012-06-26
USD0.096342012-03-27
20111.20%USD 0.372USD0.121092011-12-22
USD0.089022011-09-27
USD0.086132011-06-27
USD0.075552011-03-28
20101.34%USD 0.415USD0.088082010-12-22
USD0.078932010-09-27
USD0.077462010-06-25
USD0.0952010-04-09
USD0.075942010-03-26
20091.01%USD 0.314USD0.089112009-12-22
USD0.066222009-09-25
USD0.080992009-06-25
USD0.077612009-03-26
20081.25%USD 0.388USD0.102592008-12-22
USD0.090382008-09-25
USD0.108672008-06-25
USD0.086092008-03-27
20075.22%USD 1.621USD0.102782007-12-20
USD1.239512007-11-14
USD0.088662007-09-25
USD0.106092007-06-26
USD0.083582007-03-27
20065.43%USD 1.687USD0.07672006-12-20
USD1.343762006-11-10
USD0.08592006-09-22
USD0.09252006-06-27
USD0.0882006-03-28
20053.43%USD 1.065USD0.082005-12-21
USD0.761522005-11-10
USD0.072005-09-27
USD0.07652005-06-27
USD0.0772005-03-28
20041.51%USD 0.47USD0.1032004-12-23
USD0.185312004-11-10
USD0.072004-09-27
USD0.062004-06-25
USD0.05182004-03-26
20030.73%USD 0.227USD0.05422003-12-23
USD0.0582003-09-25
USD0.0622003-06-25
USD0.0532003-03-26
20020.62%USD 0.194USD0.03732002-12-23
USD0.07012002-09-25
USD0.04072002-06-25
USD0.04582002-03-25
20011.56%USD 0.485USD0.058142001-12-21
USD0.244732001-11-09
USD0.067262001-09-25
USD0.062622001-06-26
USD0.052592001-03-27
20003.44%USD 1.067USD0.065972000-12-22
USD0.768062000-11-09
USD0.066492000-09-26
USD0.126612000-06-27
USD0.040112000-03-28