HARBOR BOND FUND ADMINISTRATIVE CLASS(HRBDX) USD 10.21
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.40%USD 0.041USD0.024792023-02-28
USD0.015772023-01-31
20223.06%USD 0.312USD0.093922022-12-19
USD0.022832022-11-29
USD0.020342022-10-28
USD0.031042022-09-29
USD0.021742022-08-30
USD0.017822022-07-28
USD0.026522022-06-29
USD0.019262022-05-26
USD0.016232022-04-28
USD0.02092022-03-30
USD0.013472022-02-25
USD0.008142022-01-28
20213.33%USD 0.34USD0.144922021-12-30
USD0.023182021-12-20
USD0.023932021-11-29
USD0.02442021-10-28
USD0.025692021-09-29
USD0.014092021-08-30
USD0.012772021-07-29
USD0.010792021-06-29
USD0.013642021-05-27
USD0.013912021-04-29
USD0.032632021-03-30
20203.67%USD 0.375USD0.209682020-12-17
USD0.057122020-09-29
USD0.071542020-06-29
USD0.036412020-03-30
20193.34%USD 0.341USD0.140992019-12-16
USD0.068942019-09-26
USD0.0842019-06-27
USD0.047562019-03-28
20183.09%USD 0.315USD0.131562018-12-17
USD0.082018-09-27
USD0.092592018-06-28
USD0.010862018-03-28
20173.55%USD 0.363USD0.180262017-12-18
USD0.077292017-09-28
USD0.078992017-06-29
USD0.02642017-03-30
20164.61%USD 0.471USD0.302982016-12-19
USD0.0552016-09-29
USD0.054622016-06-29
USD0.058142016-03-30
20155.75%USD 0.587USD0.380142015-12-17
USD0.137082015-09-24
USD0.064482015-06-29
USD0.005362015-03-30
20144.16%USD 0.425USD0.278382014-12-18
USD0.056482014-09-25
USD0.043772014-06-26
USD0.046422014-03-27
20138.07%USD 0.824USD0.169062013-12-17
USD0.036872013-09-26
USD0.055182013-06-27
USD0.56292013-03-28
20127.86%USD 0.802USD0.624632012-12-17
USD0.034352012-09-27
USD0.09022012-06-28
USD0.053212012-03-29
20112.89%USD 0.295USD0.084422011-12-16
USD0.074672011-09-29
USD0.051442011-06-29
USD0.084442011-03-30
20109.87%USD 1.008USD0.790522010-12-17
USD0.068492010-09-29
USD0.067292010-06-29
USD0.0412010-04-30
USD0.040522010-03-30
20096.49%USD 0.662USD0.340792009-12-18
USD0.11852009-09-29
USD0.107782009-06-29
USD0.095212009-03-30
20089.47%USD 0.966USD0.519232008-12-19
USD0.173092008-09-29
USD0.1332008-06-27
USD0.141162008-03-28
20075.85%USD 0.597USD0.203382007-12-19
USD0.12652007-09-27
USD0.13732007-06-28
USD0.130052007-03-29
20064.68%USD 0.478USD0.242442006-12-19
USD0.069522006-09-28
USD0.10162006-06-29
USD0.064662006-03-30
20054.73%USD 0.483USD0.143742005-12-20
USD0.134842005-09-29
USD0.13592005-06-29
USD0.068662005-03-30
20045.98%USD 0.611USD0.432272004-12-30
USD0.07642004-09-29
USD0.056222004-06-29
USD0.045942004-03-30
20034.52%USD 0.462USD0.209312003-12-30
USD0.0852003-09-29
USD0.087392003-06-27
USD0.080032003-03-28
20025.71%USD 0.583USD0.58292002-12-30