HEARTLAND VALUE PLUS FUND INVESTOR CLASS(HRVIX) USD 36.65
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.27%USD 0.831USD0.831122022-12-28
202126.53%USD 9.722USD9.721762021-12-29
20201.11%USD 0.407USD0.406952020-12-29
20191.42%USD 0.521USD0.520862019-12-27
20180.88%USD 0.323USD0.32282018-12-28
20170.12%USD 0.046USD0.045562017-12-28
20160.53%USD 0.196USD0.195932016-12-29
20155.77%USD 2.115USD2.114992015-12-29
20148.77%USD 3.216USD3.215732014-12-30
201310.95%USD 4.014USD4.014132013-12-27
20123.20%USD 1.173USD1.172922012-12-27
20111.37%USD 0.503USD0.502942011-12-29
20100.71%USD 0.261USD0.078772010-12-31
USD0.160542010-12-29
USD0.021222010-03-31
20090.51%USD 0.186USD0.0812009-12-31
USD0.01692009-09-30
USD0.01332009-06-30
USD0.07432009-03-31
20080.28%USD 0.103USD0.0232008-09-30
USD0.03192008-06-30
USD0.04832008-03-31
200714.45%USD 5.295USD4.06122007-12-27
USD1.03192007-09-28
USD0.04752007-06-29
USD0.15422007-03-30
20067.09%USD 2.6USD0.04152006-12-29
USD2.40292006-12-27
USD0.0332006-09-29
USD0.03822006-06-30
USD0.08442006-03-31
20053.71%USD 1.36USD0.05832005-12-30
USD1.19932005-12-28
USD0.04572005-09-30
USD0.04462005-06-30
USD0.01232005-03-31
20041.98%USD 0.725USD0.64452004-12-28
USD0.01192004-09-30
USD0.00112004-06-30
USD0.06722004-03-31
20030.14%USD 0.05USD0.02362003-12-31
USD0.00732003-09-30
USD0.00152003-06-30
USD0.01722003-03-31
20020.34%USD 0.124USD0.03122002-12-31
USD0.02272002-09-30
USD0.02712002-06-28
USD0.0432002-03-28
20010.48%USD 0.175USD0.04592001-12-28
USD0.05222001-09-28
USD0.04472001-06-29
USD0.03252001-03-30
20000.94%USD 0.343USD0.07562000-12-20
USD0.04882000-10-02
USD0.02732000-07-03
USD0.13842000-04-03
USD0.05322000-01-03