THE HARTFORD WORLD BOND FUND CLASS R3(HWDRX) USD 9.92
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.52%USD 0.052USD0.051722023-03-29
20220.09%USD 0.009USD0.00872022-03-29
20211.12%USD 0.111USD0.063852021-12-29
USD0.032522021-12-17
USD0.005882021-09-28
USD0.007382021-06-28
USD0.001742021-03-29
20200.38%USD 0.038USD0.031012020-12-29
USD0.007012020-03-27
20192.64%USD 0.262USD0.161022019-12-27
USD0.048672019-12-17
USD0.012772019-09-27
USD0.019952019-06-27
USD0.019662019-03-28
20184.23%USD 0.419USD0.390012018-12-27
USD0.010052018-12-17
USD0.0192018-09-27
USD0.000352018-06-28
20160.15%USD 0.015USD0.003632016-03-30
USD0.006012016-02-26
USD0.005172016-01-28
20150.48%USD 0.048USD0.005872015-11-27
USD0.004832015-10-29
USD0.006242015-09-29
USD0.004942015-08-27
USD0.004262015-07-30
USD0.005482015-06-29
USD0.003982015-05-28
USD0.002532015-04-29
USD0.00342015-03-30
USD0.003152015-02-26
USD0.002862015-01-29
20143.64%USD 0.362USD0.294022014-12-30
USD0.004682014-11-26
USD0.005082014-10-29
USD0.005972014-09-29
USD0.004652014-08-28
USD0.00752014-07-30
USD0.007312014-06-26
USD0.006022014-05-29
USD0.006782014-04-29
USD0.007552014-03-27
USD0.007182014-02-27
USD0.00482014-01-29
20131.15%USD 0.114USD0.056172013-12-30
USD0.007182013-11-29
USD0.006512013-10-29
USD0.006252013-09-26
USD0.005722013-08-28
USD0.006022013-07-29
USD0.004892013-06-27
USD0.004762013-05-29
USD0.004192013-04-29
USD0.00462013-03-27
USD0.004152013-02-27
USD0.003832013-01-29
20122.60%USD 0.258USD0.080332012-12-20
USD0.003572012-11-28
USD0.116572012-11-20
USD0.004262012-10-31
USD0.002952012-08-15
USD0.003442012-07-16
USD0.004092012-06-28
USD0.007382012-05-16
USD0.007242012-04-16
USD0.007382012-03-14
USD0.0062012-02-29
USD0.0152012-01-31
20111.70%USD 0.168USD0.0872011-12-30
USD0.0172011-11-30
USD0.039392011-11-21
USD0.0092011-10-31
USD0.012011-09-30
USD0.0062011-08-31