COLUMBIA CAPITAL ALLOCATION MODERATE CONSERVATIVE PORTFOLIO COLUMBIA CAPITAL ALLOCATION MODERATE CONSERVATIVE PORTFOLIO CLASS Z(NIPAX) USD 9.02
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.52%USD 0.047USD0.046752023-03-29
20226.50%USD 0.586USD0.115762022-12-21
USD0.038542022-09-28
USD0.40232022-06-28
USD0.029572022-03-29
202111.86%USD 1.07USD0.4832021-12-22
USD0.03562021-09-28
USD0.51032021-06-28
USD0.04112021-03-29
20206.64%USD 0.599USD0.215132020-12-21
USD0.039132020-09-28
USD0.303392020-06-26
USD0.041132020-03-27
20195.34%USD 0.481USD0.246742019-12-20
USD0.057412019-09-26
USD0.131052019-06-26
USD0.046242019-03-27
20188.24%USD 0.743USD0.311192018-12-21
USD0.051422018-09-26
USD0.332062018-06-27
USD0.048522018-03-27
20175.53%USD 0.499USD0.282572017-12-21
USD0.043222017-09-27
USD0.108792017-06-27
USD0.064662017-03-28
20164.36%USD 0.393USD0.070082016-12-22
USD0.035692016-09-27
USD0.243672016-06-28
USD0.04342016-03-28
20156.42%USD 0.579USD0.25782015-12-22
USD0.044822015-09-28
USD0.221622015-06-26
USD0.054942015-03-27
201412.40%USD 1.118USD0.410052014-12-22
USD0.038382014-09-29
USD0.624222014-06-26
USD0.04542014-03-28
20137.53%USD 0.679USD0.492082013-12-23
USD0.050482013-09-26
USD0.083452013-06-26
USD0.053252013-03-12
20126.90%USD 0.622USD0.394282012-12-21
USD0.073222012-09-27
USD0.092742012-06-27
USD0.061712012-03-27
20113.23%USD 0.291USD0.076662011-12-22
USD0.07072011-09-28
USD0.08052011-06-24
USD0.06342011-03-28
20103.19%USD 0.288USD0.07292010-12-22
USD0.06942010-09-28
USD0.07792010-06-24
USD0.06762010-03-26
20093.77%USD 0.34USD0.09762009-12-22
USD0.07662009-09-28
USD0.08392009-06-24
USD0.08162009-03-27
20088.31%USD 0.75USD0.10122008-12-23
USD0.08472008-09-29
USD0.48842008-06-27
USD0.07522008-03-28
20078.09%USD 0.729USD0.27812007-12-28
USD0.09292007-09-27
USD0.27652007-06-28
USD0.08182007-03-29
20066.93%USD 0.625USD0.22582006-12-28
USD0.08952006-09-28
USD0.23322006-06-29
USD0.07662006-03-30
200511.69%USD 1.055USD0.44982005-12-29
USD0.07382005-09-28
USD0.0842005-06-28
USD0.4042005-05-18
USD0.0432005-03-29
20044.53%USD 0.409USD0.1612004-12-29
USD0.0582004-11-19
USD0.0552004-09-28
USD0.0512004-06-28
USD0.062004-05-19
USD0.0242004-03-29
20033.36%USD 0.303USD0.1282003-12-29
USD0.0212003-11-20
USD0.052003-09-26
USD0.0412003-06-26
USD0.0382003-05-20
USD0.0252003-03-27
20023.54%USD 0.319USD0.1142002-12-27
USD0.0222002-11-19
USD0.0572002-09-26
USD0.0662002-06-24
USD0.0092002-05-20
USD0.0512002-03-25
20014.84%USD 0.437USD0.1242001-12-26
USD0.0032001-11-14
USD0.1012001-09-25
USD0.0842001-06-25
USD0.0442001-05-21
USD0.0812001-03-26
20008.00%USD 0.722USD0.1342000-12-22
USD0.2252000-11-16
USD0.1332000-09-25
USD0.1472000-06-20
USD0.0832000-03-23