COLUMBIA CAPITAL ALLOCATION MODERATE AGGRESSIVE PORTFOLIO COLUMBIA CAPITAL ALLOCATION MODERATE AGGRESSIVE PORTFOLIO CLASS C(NBICX) USD 10.44
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.09%USD 0.01USD0.009912023-03-29
20225.11%USD 0.534USD0.056862022-12-21
USD0.003332022-09-28
USD0.473722022-06-28
202118.16%USD 1.896USD0.74762021-12-22
USD0.022021-09-28
USD1.10182021-06-28
USD0.02622021-03-29
20206.01%USD 0.628USD0.15672020-12-21
USD0.471042020-06-26
USD0.000162020-03-27
20197.81%USD 0.815USD0.504172019-12-20
USD0.009342019-09-26
USD0.291512019-06-26
USD0.010052019-03-27
20189.51%USD 0.993USD0.430062018-12-21
USD0.007352018-09-26
USD0.552492018-06-27
USD0.002752018-03-27
20178.20%USD 0.857USD0.550462017-12-21
USD0.306142017-06-27
20165.07%USD 0.529USD0.252982016-12-22
USD0.276182016-06-28
20158.06%USD 0.841USD0.427472015-12-22
USD0.413752015-06-26
201413.32%USD 1.391USD0.72272014-12-22
USD0.664482014-06-26
USD0.003932014-03-28
20133.18%USD 0.332USD0.244622013-12-23
USD0.084422013-06-26
USD0.003252013-03-12
20124.04%USD 0.422USD0.32942012-12-21
USD0.005712012-09-27
USD0.083862012-06-27
USD0.003042012-03-27
20111.02%USD 0.107USD0.06992011-12-22
USD0.01452011-09-28
USD0.0152011-06-24
USD0.00762011-03-28
20101.13%USD 0.118USD0.04142010-12-22
USD0.02062010-09-28
USD0.03532010-06-24
USD0.02062010-03-26
20091.52%USD 0.158USD0.06252009-12-22
USD0.02642009-09-28
USD0.04642009-06-24
USD0.0232009-03-27
200812.10%USD 1.263USD0.07492008-12-23
USD0.02762008-09-29
USD1.14222008-06-27
USD0.01842008-03-28
20077.11%USD 0.743USD0.35742007-12-28
USD0.03212007-09-27
USD0.32322007-06-28
USD0.032007-03-29
20065.08%USD 0.53USD0.25782006-12-28
USD0.0342006-09-28
USD0.21182006-06-29
USD0.02662006-03-30
20057.95%USD 0.83USD0.63082005-12-29
USD0.03132005-09-28
USD0.0332005-06-28
USD0.1332005-05-18
USD0.0022005-03-29
20042.42%USD 0.253USD0.1312004-12-29
USD0.0322004-11-19
USD0.012004-09-28
USD0.082004-05-19
20031.16%USD 0.121USD0.0822003-12-29
USD0.0142003-11-20
USD0.0152003-09-26
USD0.012003-06-26
20021.40%USD 0.146USD0.0912002-12-27
USD0.0182002-09-26
USD0.0232002-06-24
USD0.0142002-03-25
20013.43%USD 0.358USD0.0872001-12-26
USD0.0622001-09-25
USD0.0532001-06-25
USD0.1072001-05-21
USD0.0492001-03-26
200011.56%USD 1.207USD0.0942000-12-22
USD0.3122000-11-16
USD0.0712000-09-25
USD0.0952000-06-20
USD0.62000-05-18
USD0.0352000-03-23