HARTFORD MULTI-ASSET INCOME FUND CLASS R3(HAFRX) USD 9.03
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.34%USD 0.031USD0.01592023-03-29
USD0.008332023-02-27
USD0.006782023-01-30
20224.87%USD 0.44USD0.284282022-12-28
USD0.013032022-11-29
USD0.009862022-10-28
USD0.018372022-09-28
USD0.01792022-08-30
USD0.023882022-07-28
USD0.015032022-06-28
USD0.013572022-05-27
USD0.013832022-04-28
USD0.023462022-03-29
USD0.003892022-02-25
USD0.002972022-01-28
20212.22%USD 0.201USD0.077912021-12-29
USD0.005852021-11-29
USD0.00872021-10-28
USD0.018542021-09-28
USD0.012442021-08-30
USD0.024622021-07-29
USD0.010972021-06-28
USD0.008352021-05-27
USD0.012372021-04-29
USD0.013622021-03-29
USD0.00352021-02-25
USD0.003712021-01-28
20201.59%USD 0.144USD0.057372020-12-29
USD0.003432020-11-25
USD0.007382020-10-29
USD0.006952020-09-28
USD0.00342020-08-28
USD0.021542020-07-30
USD0.006842020-06-26
USD0.005862020-05-28
USD0.010962020-04-29
USD0.013412020-03-27
USD0.004112020-02-27
USD0.002762020-01-30
20193.89%USD 0.352USD0.064832019-12-27
USD0.003272019-11-27
USD0.020332019-10-30
USD0.017152019-09-27
USD0.016792019-08-29
USD0.029752019-07-30
USD0.038722019-06-27
USD0.039132019-05-30
USD0.03662019-04-29
USD0.02982019-03-28
USD0.033952019-02-27
USD0.021292019-01-30
20186.84%USD 0.618USD0.255422018-12-27
USD0.037152018-11-29
USD0.037442018-10-30
USD0.0342018-09-27
USD0.035092018-08-30
USD0.033412018-07-30
USD0.037062018-06-28
USD0.032552018-05-30
USD0.03592018-04-27
USD0.02682018-03-28
USD0.029522018-02-27
USD0.023552018-01-30
20175.23%USD 0.472USD0.151822017-12-27
USD0.030872017-11-29
USD0.035432017-10-30
USD0.027162017-09-28
USD0.024482017-08-30
USD0.034752017-07-28
USD0.03332017-06-29
USD0.034842017-05-30
USD0.026092017-04-27
USD0.031722017-03-30
USD0.023262017-02-27
USD0.018522017-01-30
20164.09%USD 0.37USD0.049932016-12-28
USD0.023182016-11-29
USD0.030492016-10-28
USD0.032012016-09-29
USD0.025122016-08-29
USD0.032282016-07-28
USD0.027862016-06-29
USD0.037222016-05-27
USD0.029952016-04-28
USD0.031552016-03-30
USD0.033562016-02-26
USD0.016422016-01-28
20154.72%USD 0.426USD0.109472015-12-29
USD0.037422015-11-27
USD0.037982015-10-29
USD0.029162015-09-29
USD0.029342015-08-27
USD0.026062015-07-30
USD0.030982015-06-29
USD0.030952015-05-28
USD0.03512015-04-29
USD0.018052015-03-30
USD0.025982015-02-26
USD0.015912015-01-29
20143.01%USD 0.272USD0.135142014-12-30
USD0.0222014-11-26
USD0.023752014-10-29
USD0.02462014-09-29
USD0.026652014-08-28
USD0.016262014-07-30
USD0.0092014-06-26
USD0.014612014-05-29