THE HARTFORD BALANCED FUND CLASS I(ITTIX) USD 18.2
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.84%USD 0.152USD0.053152023-03-29
USD0.054572023-02-27
USD0.044432023-01-30
20224.75%USD 0.865USD0.299522022-12-28
USD0.054942022-11-29
USD0.057172022-10-28
USD0.059142022-09-28
USD0.053462022-08-30
USD0.058792022-07-28
USD0.061822022-06-28
USD0.058282022-05-27
USD0.044342022-04-28
USD0.039432022-03-29
USD0.043472022-02-25
USD0.034682022-01-28
20218.85%USD 1.61USD0.098312021-12-29
USD0.903582021-12-17
USD0.05462021-11-29
USD0.050672021-10-28
USD0.057842021-09-28
USD0.060412021-08-30
USD0.063412021-07-29
USD0.083062021-06-28
USD0.051422021-05-27
USD0.048552021-04-29
USD0.048762021-03-29
USD0.056692021-02-25
USD0.032492021-01-28
20203.82%USD 0.695USD0.047332020-12-29
USD0.043582020-11-25
USD0.061462020-10-29
USD0.060322020-09-28
USD0.060242020-08-28
USD0.06382020-07-30
USD0.066072020-06-26
USD0.05192020-05-28
USD0.07282020-04-29
USD0.071442020-03-27
USD0.056762020-02-27
USD0.039592020-01-30
201921.11%USD 3.842USD0.151092019-12-27
USD2.988892019-12-17
USD0.061712019-11-27
USD0.088952019-10-30
USD0.071942019-09-27
USD0.076382019-08-29
USD0.080632019-07-30
USD0.096292019-06-27
USD0.097962019-05-30
USD0.128272019-03-28
201810.52%USD 1.914USD0.206212018-12-27
USD1.399072018-12-17
USD0.102322018-09-27
USD0.105772018-06-28
USD0.100652018-03-28
20171.88%USD 0.342USD0.089842017-12-27
USD0.074542017-09-28
USD0.075612017-06-29
USD0.101972017-03-30
20161.90%USD 0.345USD0.074542016-12-28
USD0.08152016-09-29
USD0.077492016-06-29
USD0.111722016-03-30
20152.04%USD 0.372USD0.198872015-12-29
USD0.089132015-09-29
USD0.083732015-06-29