"Total Return" performance includes dividend payments over the period, as if they were reinvested at 100%.

Past dividends on Hartford Total Return Bond ETF - USD

2026-02-26 Monthly 0.117346 USD
2026-01-29 Monthly 0.098322 USD
2025-12-29 Monthly 0.246894 USD
2025-11-25 Monthly 0.110006 USD
2025-10-29 Monthly 0.126177 USD
2025-09-28 Monthly 0.129395 USD
2025-08-27 Monthly 0.116704 USD
2025-07-29 Monthly 0.132801 USD
2025-06-26 Monthly 0.118483 USD
2025-05-28 Monthly 0.11732 USD
2025-04-28 Monthly 0.137538 USD
2025-03-27 Monthly 0.123969 USD
2025-02-26 Monthly 0.117713 USD
2025-01-29 Monthly 0.115985 USD
2024-12-30 Monthly 0.19503 USD
2024-11-26 Monthly 0.111526 USD
2024-10-29 Monthly 0.124953 USD
2024-09-26 Monthly 0.109849 USD
2024-08-28 Monthly 0.115631 USD
2024-07-29 Monthly 0.129014 USD
2024-06-26 Monthly 0.113942 USD
2024-05-29 Monthly 0.134761 USD
2024-04-25 Monthly 0.118956 USD
2024-03-26 Monthly 0.115388 USD
2024-02-26 Monthly 0.109682 USD
2024-01-28 Monthly 0.105351 USD
2023-12-27 Monthly 0.16324 USD
2023-11-27 Monthly 0.121951 USD
2023-10-26 Monthly 0.108409 USD
2023-09-27 Monthly 0.105278 USD
2023-08-29 Monthly 0.11654 USD
2023-07-27 Monthly 0.100061 USD
2023-06-28 Monthly 0.12094 USD
2023-05-25 Monthly 0.098237 USD
2023-04-26 Monthly 0.0963 USD
2023-03-29 Monthly 0.111039 USD
2023-02-26 Monthly 0.091297 USD
2023-01-26 Monthly 0.08311 USD
2022-12-28 Monthly 0.057292 USD
2022-11-28 Monthly 0.097749 USD
2022-10-26 Monthly 0.075331 USD
2022-09-28 Monthly 0.110437 USD
2022-08-29 Monthly 0.10536 USD
2022-07-27 Monthly 0.097053 USD
2022-06-28 Monthly 0.097309 USD
2022-05-26 Monthly 0.082122 USD
2022-04-27 Monthly 0.077272 USD
2022-03-29 Monthly 0.081326 USD
2022-02-24 Monthly 0.071453 USD
2022-01-27 Monthly 0.063723 USD
2021-12-29 Monthly 0.136623 USD
2021-12-16 Annual 0.708895 USD
2021-11-28 Monthly 0.07837 USD
2021-10-27 Monthly 0.070877 USD
2021-09-28 Monthly 0.082682 USD
2021-08-29 Monthly 0.082817 USD
2021-07-28 Monthly 0.074231 USD
2021-06-28 Monthly 0.082778 USD
2021-05-26 Monthly 0.069508 USD
2021-04-28 Monthly 0.075724 USD
2021-03-29 Monthly 0.074 USD
2021-02-24 Monthly 0.0759 USD
2021-01-27 Monthly 0.062758 USD
2020-12-29 Monthly 0.17184 USD
2020-11-26 Monthly 0.08128 USD
2020-10-28 Monthly 0.07626 USD
2020-09-28 Monthly 0.08588 USD
2020-09-09 Monthly 0.85216 USD
2020-08-27 Monthly 0.08759 USD
2020-07-29 Monthly 0.08661 USD
2020-06-28 Monthly 0.09515 USD
2020-05-27 Monthly 0.08716 USD
2020-04-28 Monthly 0.10264 USD
2020-03-29 Monthly 0.1028 USD
2020-02-26 Monthly 0.096223 USD
2020-01-29 Monthly 0.07385 USD
2019-12-29 Other Dividend 0.073134 USD
2019-12-29 Monthly 0.267411 USD
2019-12-29 Other Dividend 0.978359 USD
2019-11-26 Monthly 0.092901 USD
2019-10-29 Monthly 0.112963 USD
2019-09-26 Monthly 0.106731 USD
2019-08-28 Monthly 0.12814 USD
2019-07-29 Monthly 0.121338 USD
2019-06-26 Monthly 0.1398 USD
2019-05-22 Monthly 0.11473 USD
2019-04-23 Monthly 0.1167 USD
2019-03-24 Monthly 0.100136 USD
2019-02-24 Monthly 0.107316 USD
2019-01-23 Monthly 0.07574 USD
2018-12-19 Monthly 0.1244 USD
2018-11-19 Monthly 0.0719 USD
2018-10-21 Monthly 0.1009 USD
2018-09-20 Monthly 0.0706 USD
2018-08-20 Monthly 0.0989 USD
2018-07-22 Monthly 0.06 USD
2018-06-20 Monthly 0.098 USD
2018-05-20 Monthly 0.06 USD
2018-04-22 Monthly 0.099127 USD
2018-03-21 Monthly 0.074846 USD
2018-02-21 Monthly 0.062336 USD
2017-12-20 Monthly 0.115264 USD
2017-12-20 0.152638 USD
2017-11-20 Monthly 0.068078 USD
2017-10-23 Monthly 0.047226 USD
SPRING SALE - 40%: The Best Tools Reserved for Subscribers to Identify Tomorrow's Top Investments!
d
:
:
BENEFIT NOW