THE HARTFORD EQUITY INCOME FUND CLASS Y(HQIYX) USD 20.48
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.59%USD 0.122USD0.121512023-03-29
202212.82%USD 2.625USD0.153542022-12-28
USD2.155242022-12-12
USD0.102592022-09-28
USD0.108592022-06-28
USD0.105192022-03-29
202110.07%USD 2.063USD0.134262021-12-29
USD1.659012021-12-10
USD0.087122021-09-28
USD0.071492021-06-28
USD0.110832021-03-29
20202.86%USD 0.585USD0.122362020-12-29
USD0.199472020-12-10
USD0.072462020-09-28
USD0.077282020-06-26
USD0.113862020-03-27
20198.09%USD 1.657USD0.102332019-12-27
USD1.26152019-12-10
USD0.089082019-09-27
USD0.100282019-06-27
USD0.103512019-03-28
20189.08%USD 1.861USD0.122442018-12-27
USD1.436522018-12-17
USD0.0922018-09-27
USD0.102282018-06-28
USD0.107322018-03-28
20176.99%USD 1.432USD0.109172017-12-27
USD1.039472017-12-15
USD0.091492017-09-28
USD0.086362017-06-29
USD0.105862017-03-30
20164.82%USD 0.987USD0.101112016-12-28
USD0.595122016-12-16
USD0.090442016-09-29
USD0.093082016-06-29
USD0.106842016-03-30
20158.84%USD 1.811USD0.101972015-12-29
USD1.398522015-12-11
USD0.107252015-09-29
USD0.112282015-06-29
USD0.091332015-03-30
20144.54%USD 0.931USD0.107772014-12-30
USD0.524152014-12-12
USD0.093372014-09-29
USD0.11432014-06-26
USD0.0912014-03-27
20134.53%USD 0.927USD0.099212013-12-30
USD0.556822013-12-13
USD0.084962013-09-26
USD0.109312013-06-27
USD0.077152013-03-27
20122.83%USD 0.58USD0.093762012-12-20
USD0.220412012-11-20
USD0.083012012-09-26
USD0.105932012-06-26
USD0.076712012-03-27
20111.46%USD 0.299USD0.087142011-12-22
USD0.074162011-09-27
USD0.080072011-06-27
USD0.057832011-03-28
20101.27%USD 0.26USD0.07812010-12-22
USD0.063512010-09-27
USD0.062892010-06-25
USD0.055422010-03-26
20091.31%USD 0.268USD0.06842009-12-22
USD0.058472009-09-25
USD0.069622009-06-25
USD0.071752009-03-26
20081.87%USD 0.383USD0.097032008-12-22
USD0.090292008-09-25
USD0.094532008-06-25
USD0.100862008-03-27
20073.54%USD 0.726USD0.081942007-12-20
USD0.395052007-11-14
USD0.089482007-09-25
USD0.084232007-06-26
USD0.075132007-03-27
20064.20%USD 0.86USD0.081012006-12-20
USD0.540152006-11-10
USD0.078672006-09-22
USD0.082006-06-27
USD0.082006-03-28
20051.75%USD 0.358USD0.09582005-12-21
USD0.034542005-11-10
USD0.0762005-09-27
USD0.07592005-06-27
USD0.0762005-03-28
20041.43%USD 0.294USD0.07952004-12-23
USD0.023822004-11-10
USD0.072004-09-27
USD0.06152004-06-25
USD0.0592004-03-26
20030.28%USD 0.058USD0.0552003-12-23
USD0.002762003-11-10