HEARTLAND VALUE FUND INVESTOR CLASS(HRTVX) USD 41.63
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.93%USD 1.219USD1.218512022-12-28
202115.06%USD 6.268USD6.268322021-12-29
20200.79%USD 0.329USD0.328932020-12-29
20192.89%USD 1.203USD1.203342019-12-27
20185.88%USD 2.447USD2.44692018-12-28
20176.36%USD 2.649USD2.649172017-12-28
20163.45%USD 1.438USD1.438022016-12-29
20157.13%USD 2.969USD2.969082015-12-29
201413.11%USD 5.46USD5.459572014-12-30
201313.42%USD 5.585USD5.584942013-12-27
20127.02%USD 2.921USD2.921452012-12-27
20115.94%USD 2.474USD2.474232011-12-29
20100.14%USD 0.058USD0.058472010-12-29
20080.20%USD 0.084USD0.084232008-03-31
200716.51%USD 6.873USD6.873392007-12-27
200614.79%USD 6.159USD6.158782006-12-27
20052.89%USD 1.203USD1.202872005-12-28
200413.63%USD 5.674USD3.84462004-12-28
USD1.829012004-08-27
20033.75%USD 1.561USD1.560522003-12-23
20023.69%USD 1.534USD1.344152002-12-20
USD0.190232002-03-22
200112.48%USD 5.195USD3.851762001-12-28
USD1.343322001-03-30
20009.69%USD 4.033USD2.850042000-12-20
USD1.18272000-04-03