HARTFORD SCHRODERS TAX-AWARE BOND FUND CLASS SDR(HFKVX) USD 10.18
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.71%USD 0.072USD0.024842023-03-29
USD0.027492023-02-27
USD0.019822023-01-30
20222.18%USD 0.222USD0.026522022-12-28
USD0.023662022-11-29
USD0.021542022-10-28
USD0.021822022-09-28
USD0.019792022-08-30
USD0.018142022-07-28
USD0.01982022-06-28
USD0.016672022-05-27
USD0.015712022-04-28
USD0.01252022-03-29
USD0.015322022-02-25
USD0.01072022-01-28
20212.89%USD 0.294USD0.015482021-12-29
USD0.145772021-12-17
USD0.013082021-11-29
USD0.011722021-10-28
USD0.012152021-09-28
USD0.011332021-08-30
USD0.010952021-07-29
USD0.011262021-06-28
USD0.010972021-05-27
USD0.012952021-04-29
USD0.011882021-03-29
USD0.015422021-02-25
USD0.011022021-01-28
20203.29%USD 0.335USD0.013882020-12-29
USD0.154792020-12-17
USD0.014142020-11-25
USD0.013012020-10-29
USD0.014412020-09-28
USD0.013622020-08-28
USD0.013732020-07-30
USD0.014552020-06-26
USD0.015232020-05-28
USD0.016182020-04-29
USD0.019112020-03-27
USD0.018542020-02-27
USD0.013812020-01-30
20194.22%USD 0.429USD0.011252019-12-27
USD0.226222019-12-17
USD0.018122019-11-27
USD0.018522019-10-30
USD0.007732019-09-27
USD0.007872019-08-29
USD0.007782019-07-30
USD0.022262019-06-27
USD0.020972019-05-30
USD0.02382019-04-29
USD0.021462019-03-28
USD0.025962019-02-27
USD0.017232019-01-30
20183.66%USD 0.373USD0.024232018-12-27
USD0.116682018-12-17
USD0.023732018-11-29
USD0.022452018-10-30
USD0.0232018-09-27
USD0.021512018-08-30
USD0.020322018-07-30
USD0.022022018-06-28
USD0.019742018-05-30
USD0.021352018-04-27
USD0.019172018-03-28
USD0.022492018-02-27
USD0.016092018-01-30
20172.21%USD 0.225USD0.018612017-12-27
USD0.010312017-12-15
USD0.017972017-11-29
USD0.016812017-10-30
USD0.017592017-09-28
USD0.016922017-08-30
USD0.016972017-07-28
USD0.018562017-06-29
USD0.017462017-05-30
USD0.020432017-04-27
USD0.017252017-03-30
USD0.02072017-02-27
USD0.01582017-01-30
20161.07%USD 0.109USD0.024472016-12-28
USD0.040872016-12-16
USD0.022782016-11-29
USD0.020692016-10-28