COLUMBIA CONVERTIBLE SECURITIES FUND COLUMBIA CONVERTIBLE SECURITIES FUND CLASS C(PHIKX) USD 19.1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.51%USD 0.097USD0.096552023-03-20
20228.77%USD 1.675USD0.095662022-12-13
USD0.035052022-09-21
USD1.526612022-06-21
USD0.017972022-03-18
202128.59%USD 5.461USD3.15872021-12-14
USD0.00172021-09-21
USD2.29352021-06-18
USD0.00722021-03-18
202011.32%USD 2.162USD1.319062020-12-11
USD0.000452020-09-22
USD0.767732020-06-17
USD0.075152020-03-20
20196.47%USD 1.235USD0.822952019-12-13
USD0.082512019-09-20
USD0.258442019-06-17
USD0.071592019-03-20
20184.39%USD 0.838USD0.656592018-12-13
USD0.061572018-09-21
USD0.060672018-06-21
USD0.059052018-03-21
20172.11%USD 0.403USD0.114332017-12-13
USD0.101022017-09-21
USD0.09312017-06-22
USD0.09452017-03-22
20161.52%USD 0.291USD0.156472016-12-14
USD0.088242016-09-22
USD0.039132016-06-23
USD0.007022016-03-23
20157.77%USD 1.483USD0.79642015-12-14
USD0.09342015-09-22
USD0.500462015-06-22
USD0.092972015-03-20
20143.91%USD 0.748USD0.376252014-12-10
USD0.090592014-09-24
USD0.225682014-06-24
USD0.055012014-03-21
20131.35%USD 0.257USD0.077972013-12-09
USD0.058252013-09-20
USD0.078722013-06-21
USD0.04232013-03-20
20121.77%USD 0.339USD0.093782012-12-11
USD0.082952012-09-25
USD0.095512012-06-22
USD0.066462012-03-23
20111.61%USD 0.307USD0.094972011-12-09
USD0.08382011-09-26
USD0.07622011-06-22
USD0.05172011-03-24
20102.03%USD 0.388USD0.10522010-12-10
USD0.1252010-09-24
USD0.10412010-06-22
USD0.05352010-03-24
20091.32%USD 0.251USD0.07932009-12-10
USD0.05582009-09-24
USD0.07272009-06-22
USD0.04342009-03-25
20082.26%USD 0.431USD0.06312008-12-11
USD0.05772008-09-25
USD0.28362008-06-25
USD0.0272008-03-26
20078.61%USD 1.644USD1.14032007-12-12
USD0.06262007-09-25
USD0.39282007-06-26
USD0.04792007-03-27
200611.49%USD 2.196USD1.0272006-12-13
USD0.06752006-09-26
USD1.04312006-06-27
USD0.05792006-03-28
20051.60%USD 0.307USD0.0822005-12-14
USD0.07152005-09-28
USD0.0792005-06-28
USD0.0742005-03-29
20041.90%USD 0.363USD0.1412004-12-29
USD0.072004-09-28
USD0.0792004-06-28
USD0.0732004-03-29
20031.76%USD 0.337USD0.0892003-12-29
USD0.0832003-09-26
USD0.0842003-06-26
USD0.0812003-03-27
20021.82%USD 0.348USD0.122002-12-27
USD0.0982002-09-26
USD0.0662002-06-24
USD0.0642002-03-25
20012.16%USD 0.413USD0.1382001-12-26
USD0.0482001-09-25
USD0.1622001-06-25
USD0.0652001-03-26
20002.07%USD 0.395USD0.1112000-12-22
USD0.1222000-09-25
USD0.1442000-06-20
USD0.0182000-03-23