STOCK INDEX FUND STOCK INDEX FUND(HSTIX) USD 30.25
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.76%USD 0.532USD0.42852022-12-15
USD0.10352022-06-30
20212.45%USD 0.741USD0.65982021-12-16
USD0.0812021-06-30
20201.29%USD 0.39USD0.31562020-12-17
USD0.07432020-06-30
20191.57%USD 0.475USD0.43812019-12-18
USD0.0372019-06-28
20181.22%USD 0.369USD0.28112018-12-17
USD0.08812018-06-29
20170.59%USD 0.179USD0.1792017-12-18
20160.83%USD 0.252USD0.25172016-12-30
USD0.00012016-06-30
20150.83%USD 0.252USD0.25182015-12-31
20140.72%USD 0.217USD0.21682014-12-31
USD0.00012014-06-30
20130.61%USD 0.183USD0.18292013-12-31
USD0.00022013-06-28
20121.06%USD 0.319USD0.17622012-12-31
USD0.14322012-01-03
20110.40%USD 0.122USD0.12222011-01-03
20100.40%USD 0.122USD0.0072010-06-29
USD0.11492010-01-04
20090.54%USD 0.164USD0.16372009-01-02
20080.70%USD 0.211USD0.05142008-09-16
USD0.00542008-07-01
USD0.0052008-06-30
USD0.14882008-01-02
20070.42%USD 0.126USD0.12612007-01-03
20050.71%USD 0.214USD0.1122005-12-30
USD0.10162005-01-03
20040.21%USD 0.064USD0.06422004-01-02
20030.18%USD 0.054USD0.05382003-01-01
20020.20%USD 0.062USD0.052002-12-31
USD0.0122002-03-28
20010.18%USD 0.054USD0.0222001-12-31
USD0.0112001-09-28
USD0.0112001-06-29
USD0.012001-03-30
20000.18%USD 0.053USD0.0142000-12-29
USD0.0182000-09-29
USD0.0212000-06-30