COLUMBIA MID CAP VALUE FUND COLUMBIA MID CAP VALUE FUND CLASS Z(NAMAX) USD 12.14
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.24%USD 0.03USD0.029532023-03-16
20226.29%USD 0.764USD0.224062022-12-08
USD0.025752022-09-19
USD0.49192022-06-16
USD0.02252022-03-16
202110.41%USD 1.264USD1.0282021-12-08
USD0.02162021-09-17
USD0.19862021-06-16
USD0.01582021-03-16
20203.08%USD 0.374USD0.017252020-12-08
USD0.019432020-09-18
USD0.301982020-06-15
USD0.035392020-03-17
20193.16%USD 0.383USD0.26962019-12-06
USD0.030392019-09-18
USD0.056072019-06-13
USD0.027162019-03-18
201826.43%USD 3.209USD2.362752018-12-07
USD0.029872018-09-19
USD0.790022018-06-15
USD0.025992018-03-16
201723.79%USD 2.889USD2.305532017-12-08
USD0.027752017-09-19
USD0.529182017-06-16
USD0.026162017-03-17
20169.75%USD 1.184USD0.805672016-12-09
USD0.020562016-09-19
USD0.336392016-06-17
USD0.021142016-03-17
201519.51%USD 2.368USD1.603952015-12-10
USD0.024472015-09-22
USD0.719352015-06-18
USD0.020612015-03-20
201424.88%USD 3.02USD1.462182014-12-10
USD0.021722014-09-24
USD1.517392014-06-20
USD0.018672014-03-21
201317.04%USD 2.068USD1.930462013-12-09
USD0.019642013-09-24
USD0.089372013-06-21
USD0.028832013-03-22
20121.14%USD 0.139USD0.038482012-12-13
USD0.045642012-09-25
USD0.036032012-06-22
USD0.018572012-03-23
20110.88%USD 0.106USD0.046142011-12-12
USD0.02622011-09-26
USD0.02392011-06-22
USD0.01022011-03-24
20101.41%USD 0.172USD0.04672010-12-10
USD0.09822010-09-24
USD0.01762010-06-22
USD0.00912010-03-24
20090.83%USD 0.1USD0.03232009-12-10
USD0.02422009-09-24
USD0.03092009-06-22
USD0.0132009-03-25
20081.19%USD 0.145USD0.05312008-12-11
USD0.04282008-09-25
USD0.03492008-06-25
USD0.01382008-03-26
20078.76%USD 1.064USD0.27232007-12-12
USD0.03232007-09-25
USD0.72372007-06-26
USD0.03552007-03-27
200613.42%USD 1.63USD0.65772006-12-13
USD0.03162006-09-26
USD0.91912006-06-27
USD0.02112006-03-28
200552.96%USD 6.429USD0.0472005-12-14
USD0.00992005-09-28
USD5.34552005-09-21
USD0.0282005-06-28
USD0.992005-05-18
USD0.0092005-03-29
20049.60%USD 1.165USD0.0852004-12-29
USD0.5132004-11-19
USD0.0282004-09-28
USD0.0292004-06-28
USD0.4832004-05-19
USD0.0272004-03-29
20030.88%USD 0.107USD0.0362003-12-29
USD0.0262003-09-26
USD0.0282003-06-26
USD0.0172003-03-27
20010.07%USD 0.009USD0.0092001-12-26