HARBOR CONVERTIBLE SECURITIES FUND INVESTOR CLASS(HICSX) USD 9.88
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.43%USD 0.043USD0.039792022-12-19
USD0.003182022-09-29
202116.57%USD 1.637USD1.636692021-12-20
202012.61%USD 1.245USD1.232692020-12-17
USD0.00132020-09-29
USD0.00462020-06-29
USD0.006812020-03-30
20193.97%USD 0.392USD0.355282019-12-16
USD0.009432019-09-26
USD0.0142019-06-27
USD0.013592019-03-28
20186.24%USD 0.616USD0.581912018-12-17
USD0.0112018-09-27
USD0.011242018-06-28
USD0.012332018-03-28
201711.03%USD 1.09USD1.011082017-12-18
USD0.028672017-09-28
USD0.02112017-06-29
USD0.028822017-03-30
20161.04%USD 0.103USD0.055052016-12-19
USD0.012272016-09-29
USD0.019722016-06-29
USD0.016112016-03-30
20154.03%USD 0.399USD0.326932015-12-17
USD0.02212015-09-24
USD0.02392015-06-29
USD0.02562015-03-30
20146.12%USD 0.604USD0.52762014-12-18
USD0.027122014-09-25
USD0.02122014-06-26
USD0.028442014-03-27
20132.79%USD 0.276USD0.194962013-12-17
USD0.032562013-09-26
USD0.019832013-06-27
USD0.028632013-03-28
20122.37%USD 0.235USD0.105642012-12-17
USD0.038032012-09-27
USD0.046252012-06-28
USD0.044722012-03-29
20111.32%USD 0.13USD0.082232011-12-16
USD0.031162011-09-29
USD0.017042011-06-29