THE HARTFORD DIVIDEND AND GROWTH FUND CLASS A(IHGIX) USD 30.04
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.31%USD 0.094USD0.09442023-03-29
20225.84%USD 1.753USD0.157592022-12-28
USD1.373592022-12-12
USD0.077592022-09-28
USD0.063842022-06-28
USD0.080842022-03-29
20216.47%USD 1.945USD0.1112021-12-29
USD1.617332021-12-10
USD0.06682021-09-28
USD0.062922021-06-28
USD0.086692021-03-29
20203.15%USD 0.945USD0.118082020-12-29
USD0.565122020-12-10
USD0.077592020-09-28
USD0.078872020-06-26
USD0.105192020-03-27
20193.75%USD 1.128USD0.107062019-12-27
USD0.747272019-12-10
USD0.086362019-09-27
USD0.086062019-06-27
USD0.101172019-03-28
20189.10%USD 2.734USD0.108642018-12-27
USD2.353422018-12-17
USD0.092018-09-27
USD0.089972018-06-28
USD0.091972018-03-28
20179.99%USD 3.002USD0.107392017-12-27
USD2.636272017-12-15
USD0.082622017-09-28
USD0.090542017-06-29
USD0.084962017-03-30
20163.80%USD 1.142USD0.121942016-12-28
USD0.785462016-12-16
USD0.078642016-09-29
USD0.073772016-06-29
USD0.08222016-03-30
20151.20%USD 0.36USD0.102682015-12-29
USD0.085472015-09-29
USD0.095382015-06-29
USD0.076092015-03-30
20148.84%USD 2.656USD0.09732014-12-30
USD2.295122014-12-12
USD0.085362014-09-29
USD0.103392014-06-26
USD0.075282014-03-27
20136.67%USD 2.003USD0.099582013-12-30
USD1.656052013-12-13
USD0.089612013-09-26
USD0.08722013-06-27
USD0.070442013-03-27
20122.31%USD 0.694USD0.108822012-12-20
USD0.347812012-11-20
USD0.085292012-09-26
USD0.077092012-06-26
USD0.074842012-03-27
20110.97%USD 0.29USD0.101162011-12-22
USD0.068772011-09-27
USD0.06552011-06-27
USD0.054962011-03-28
20100.81%USD 0.245USD0.068392010-12-22
USD0.059712010-09-27
USD0.058782010-06-25
USD0.057752010-03-26
20090.81%USD 0.245USD0.069282009-12-22
USD0.048862009-09-25
USD0.064432009-06-25
USD0.062032009-03-26
20081.04%USD 0.313USD0.086282008-12-22
USD0.071082008-09-25
USD0.088692008-06-25
USD0.066932008-03-27
20075.11%USD 1.534USD0.081422007-12-20
USD1.239512007-11-14
USD0.066152007-09-25
USD0.083882007-06-26
USD0.062942007-03-27
20065.35%USD 1.609USD0.060892006-12-20
USD1.343762006-11-10
USD0.065272006-09-22
USD0.07122006-06-27
USD0.06742006-03-28
20053.27%USD 0.982USD0.05852005-12-21
USD0.761522005-11-10
USD0.0492005-09-27
USD0.05632005-06-27
USD0.05662005-03-28
20041.27%USD 0.38USD0.0832004-12-23
USD0.185312004-11-10
USD0.04752004-09-27
USD0.0362004-06-25
USD0.02852004-03-26
20030.45%USD 0.134USD0.0312003-12-23
USD0.0342003-09-25
USD0.0362003-06-25
USD0.03282003-03-26
20020.34%USD 0.101USD0.02472002-12-23
USD0.017252002-09-25
USD0.032002-06-25
USD0.0292002-03-25
20011.37%USD 0.411USD0.041962001-12-21
USD0.244732001-11-09
USD0.045212001-09-25
USD0.037662001-06-26
USD0.041872001-03-27
20003.39%USD 1.019USD0.0532000-12-26
USD0.768062000-11-09
USD0.0532000-09-26
USD0.115812000-06-27
USD0.028722000-03-28