THE HARTFORD EQUITY INCOME FUND CLASS A(HQIAX) USD 20.18
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.54%USD 0.11USD0.109882023-03-29
202212.76%USD 2.574USD0.142282022-12-28
USD2.155242022-12-12
USD0.089692022-09-28
USD0.095082022-06-28
USD0.091952022-03-29
20219.96%USD 2.01USD0.120792021-12-29
USD1.659012021-12-10
USD0.074032021-09-28
USD0.058422021-06-28
USD0.097342021-03-29
20202.64%USD 0.533USD0.108722020-12-29
USD0.199472020-12-10
USD0.059892020-09-28
USD0.064852020-06-26
USD0.100322020-03-27
20197.94%USD 1.603USD0.088852019-12-27
USD1.26152019-12-10
USD0.074532019-09-27
USD0.086722019-06-27
USD0.09112019-03-28
20188.93%USD 1.802USD0.110522018-12-27
USD1.436522018-12-17
USD0.0762018-09-27
USD0.087132018-06-28
USD0.092012018-03-28
20176.79%USD 1.371USD0.094462017-12-27
USD1.039472017-12-15
USD0.076732017-09-28
USD0.071122017-06-29
USD0.089382017-03-30
20164.57%USD 0.922USD0.084632016-12-28
USD0.595122016-12-16
USD0.07362016-09-29
USD0.076912016-06-29
USD0.09172016-03-30
20158.64%USD 1.744USD0.087172015-12-29
USD1.398522015-12-11
USD0.089352015-09-29
USD0.094782015-06-29
USD0.07442015-03-30
20144.28%USD 0.863USD0.090392014-12-30
USD0.524152014-12-12
USD0.07582014-09-29
USD0.097082014-06-26
USD0.075362014-03-27
20134.29%USD 0.866USD0.083472013-12-30
USD0.556822013-12-13
USD0.069182013-09-26
USD0.09422013-06-27
USD0.062522013-03-27
20122.60%USD 0.525USD0.079712012-12-20
USD0.220412012-11-20
USD0.069262012-09-26
USD0.092142012-06-26
USD0.063152012-03-27
20111.23%USD 0.249USD0.074812011-12-22
USD0.061552011-09-27
USD0.067022011-06-27
USD0.045222011-03-28
20101.05%USD 0.213USD0.065582010-12-22
USD0.051852010-09-27
USD0.050952010-06-25
USD0.044272010-03-26
20091.12%USD 0.225USD0.055442009-12-22
USD0.047112009-09-25
USD0.060022009-06-25
USD0.062872009-03-26
20081.66%USD 0.335USD0.086692008-12-22
USD0.078212008-09-25
USD0.081652008-06-25
USD0.088372008-03-27
20073.32%USD 0.671USD0.067982007-12-20
USD0.395052007-11-14
USD0.074942007-09-25
USD0.070212007-06-26
USD0.062472007-03-27
20063.93%USD 0.794USD0.05592006-12-20
USD0.540152006-11-10
USD0.065322006-09-22
USD0.06632006-06-27
USD0.0662006-03-28
20051.54%USD 0.31USD0.08372005-12-21
USD0.034542005-11-10
USD0.06472005-09-27
USD0.06362005-06-27
USD0.06352005-03-28
20041.23%USD 0.247USD0.06752004-12-23
USD0.023822004-11-10
USD0.05572004-09-27
USD0.05022004-06-25
USD0.052004-03-26
20030.24%USD 0.049USD0.04662003-12-23
USD0.002762003-11-10