THE HARTFORD BALANCED FUND CLASS R5(ITTTX) USD 18.59
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.81%USD 0.151USD0.053182023-03-29
USD0.054332023-02-27
USD0.043962023-01-30
20224.60%USD 0.856USD0.298442022-12-28
USD0.053592022-11-29
USD0.055152022-10-28
USD0.058292022-09-28
USD0.052512022-08-30
USD0.058262022-07-28
USD0.061332022-06-28
USD0.057682022-05-27
USD0.043592022-04-28
USD0.038832022-03-29
USD0.043382022-02-25
USD0.034612022-01-28
20218.62%USD 1.602USD0.098012021-12-29
USD0.903582021-12-17
USD0.054492021-11-29
USD0.050142021-10-28
USD0.057082021-09-28
USD0.059672021-08-30
USD0.062832021-07-29
USD0.08242021-06-28
USD0.050822021-05-27
USD0.047742021-04-29
USD0.047722021-03-29
USD0.055472021-02-25
USD0.031832021-01-28
20203.67%USD 0.682USD0.046082020-12-29
USD0.042972020-11-25
USD0.060742020-10-29
USD0.058572020-09-28
USD0.059562020-08-28
USD0.060032020-07-30
USD0.065142020-06-26
USD0.051162020-05-28
USD0.071992020-04-29
USD0.070632020-03-27
USD0.055982020-02-27
USD0.038912020-01-30
201920.61%USD 3.832USD0.149732019-12-27
USD2.988892019-12-17
USD0.055682019-11-27
USD0.088522019-10-30
USD0.072282019-09-27
USD0.077042019-08-29
USD0.081332019-07-30
USD0.096782019-06-27
USD0.096262019-05-30
USD0.125352019-03-28
201810.24%USD 1.903USD0.20332018-12-27
USD1.399072018-12-17
USD0.096672018-09-27
USD0.104362018-06-28
USD0.099512018-03-28
20171.91%USD 0.356USD0.089122017-12-27
USD0.084532017-09-28
USD0.080322017-06-29
USD0.101712017-03-30
20161.87%USD 0.348USD0.077982016-12-28
USD0.080882016-09-29
USD0.076892016-06-29
USD0.112162016-03-30
20152.37%USD 0.44USD0.20632015-12-29
USD0.085172015-09-29
USD0.079582015-06-29
USD0.069012015-03-30
20141.65%USD 0.307USD0.084152014-12-30
USD0.069012014-09-29
USD0.079662014-06-26
USD0.074292014-03-27
20131.49%USD 0.276USD0.079312013-12-30
USD0.06432013-09-26
USD0.076342013-06-27
USD0.056492013-03-27
20121.57%USD 0.293USD0.084582012-12-20
USD0.077472012-09-26
USD0.073942012-06-26
USD0.056732012-03-27
20111.36%USD 0.253USD0.082552011-12-22
USD0.054232011-09-27
USD0.068592011-06-27
USD0.047862011-03-28
20101.21%USD 0.225USD0.070282010-12-22
USD0.048892010-09-27
USD0.053182010-06-25
USD0.052942010-03-26
20091.24%USD 0.231USD0.055552009-12-22
USD0.054072009-09-25
USD0.057122009-06-25
USD0.064392009-03-26
20081.99%USD 0.37USD0.147322008-12-22
USD0.094782008-09-25
USD0.055262008-06-25
USD0.072942008-03-27
200712.63%USD 2.348USD0.083042007-12-20
USD1.993282007-11-14
USD0.09792007-09-25
USD0.098812007-06-26
USD0.075322007-03-27