COLUMBIA DIVIDEND INCOME FUND COLUMBIA DIVIDEND INCOME FUND CLASS A(LBSAX) USD 29.14
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.47%USD 0.136USD0.135972023-03-20
20223.59%USD 1.045USD0.698042022-12-13
USD0.123382022-09-21
USD0.106612022-06-21
USD0.117332022-03-18
20212.87%USD 0.837USD0.55262021-12-14
USD0.10362021-09-21
USD0.08362021-06-18
USD0.09692021-03-18
20201.34%USD 0.392USD0.096582020-12-11
USD0.089552020-09-22
USD0.100362020-06-17
USD0.10512020-03-20
20192.24%USD 0.654USD0.364512019-12-13
USD0.097552019-09-20
USD0.096362019-06-17
USD0.095332019-03-20
20184.96%USD 1.446USD1.171712018-12-13
USD0.090292018-09-21
USD0.0922018-06-21
USD0.0922018-03-21
20173.22%USD 0.937USD0.68832017-12-13
USD0.078452017-09-21
USD0.083522017-06-22
USD0.086712017-03-22
20162.65%USD 0.773USD0.533832016-12-14
USD0.072016-09-22
USD0.078632016-06-23
USD0.090532016-03-23
20154.83%USD 1.408USD1.082932015-12-14
USD0.108382015-09-22
USD0.108142015-06-22
USD0.108322015-03-20
20145.44%USD 1.584USD1.311642014-12-16
USD0.088322014-09-24
USD0.089262014-06-24
USD0.094592014-03-21
20131.91%USD 0.557USD0.328372013-12-17
USD0.075362013-09-24
USD0.077732013-06-24
USD0.075732013-03-22
20121.19%USD 0.347USD0.089982012-12-18
USD0.083872012-09-25
USD0.089362012-06-22
USD0.08422012-03-23
20111.02%USD 0.297USD0.09222011-12-20
USD0.07082011-09-23
USD0.06772011-06-24
USD0.06672011-03-24
20100.95%USD 0.278USD0.07892010-12-20
USD0.06972010-09-21
USD0.06152010-06-24
USD0.06782010-03-24
20090.97%USD 0.283USD0.08452009-12-10
USD0.06732009-09-28
USD0.06192009-06-24
USD0.06932009-03-25
20081.05%USD 0.306USD0.07582008-12-05
USD0.08092008-09-29
USD0.07442008-06-27
USD0.07452008-03-26
20071.52%USD 0.443USD0.23962007-12-10
USD0.07062007-09-27
USD0.06762007-06-28
USD0.06522007-03-29
20061.33%USD 0.388USD0.19612006-12-11
USD0.06192006-09-20
USD0.06222006-06-29
USD0.06732006-03-30
20050.81%USD 0.236USD0.0832005-12-12
USD0.0532005-09-29
USD0.0542005-06-29
USD0.0462005-03-30
20040.59%USD 0.171USD0.0462004-12-13
USD0.0312004-09-09
USD0.0342004-06-10
USD0.062004-03-11
20030.49%USD 0.143USD0.0492003-12-16
USD0.032003-09-11
USD0.0422003-06-12
USD0.0222003-03-13