THE HARTFORD WORLD BOND FUND CLASS Y(HWDYX) USD 10.16
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.66%USD 0.067USD0.066962023-03-29
20220.22%USD 0.022USD0.022142022-03-29
20211.74%USD 0.177USD0.079452021-12-29
USD0.032522021-12-17
USD0.021872021-09-28
USD0.02262021-06-28
USD0.020372021-03-29
20200.88%USD 0.089USD0.048912020-12-29
USD0.016552020-06-26
USD0.023632020-03-27
20193.20%USD 0.325USD0.177442019-12-27
USD0.048672019-12-17
USD0.029892019-09-27
USD0.03472019-06-27
USD0.034692019-03-28
20184.47%USD 0.455USD0.409112018-12-27
USD0.010052018-12-17
USD0.0352018-09-27
USD0.000352018-06-28
20170.02%USD 0.002USD0.002092017-12-27
20160.31%USD 0.031USD0.009682016-03-30
USD0.011872016-02-26
USD0.00982016-01-28
20151.16%USD 0.118USD0.005322015-12-29
USD0.011672015-11-27
USD0.010082015-10-29
USD0.011982015-09-29
USD0.01132015-08-27
USD0.011422015-07-30
USD0.011232015-06-29
USD0.010572015-05-28
USD0.008982015-04-29
USD0.008792015-03-30
USD0.0092015-02-26
USD0.007572015-01-29
20144.27%USD 0.434USD0.301192014-12-30
USD0.010882014-11-26
USD0.010642014-10-29
USD0.011572014-09-29
USD0.010912014-08-28
USD0.013542014-07-30
USD0.013622014-06-26
USD0.011872014-05-29
USD0.012922014-04-29
USD0.013232014-03-27
USD0.013862014-02-27
USD0.009732014-01-29
20131.81%USD 0.184USD0.063122013-12-30
USD0.012642013-11-29
USD0.012672013-10-29
USD0.012222013-09-26
USD0.011612013-08-28
USD0.011522013-07-29
USD0.011092013-06-27
USD0.010492013-05-29
USD0.010012013-04-29
USD0.009652013-03-27
USD0.009142013-02-27
USD0.009812013-01-29
20123.33%USD 0.338USD0.099312012-12-20
USD0.009572012-11-28
USD0.116572012-11-20
USD0.010162012-10-31
USD0.008772012-08-15
USD0.009662012-07-16
USD0.013122012-06-28
USD0.013142012-05-16
USD0.012942012-04-16
USD0.01292012-03-14
USD0.0112012-02-29
USD0.0212012-01-31
20111.93%USD 0.196USD0.0922011-12-30
USD0.0232011-11-30
USD0.039392011-11-21
USD0.0152011-10-31
USD0.0152011-09-30
USD0.0122011-08-31