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

Past dividends on Hartford Municipal Opportunities ETF - Distributing - USD

2026-09-28 Monthly 0.120897 USD
2026-08-27 Monthly 0.108975 USD
2026-07-29 Monthly 0.114267 USD
2026-06-28 Monthly 0.120322 USD
2026-05-27 Monthly 0.105104 USD
2026-04-28 Monthly 0.114082 USD
2026-03-29 Monthly 0.113733 USD
2026-02-26 Monthly 0.113105 USD
2026-01-29 Monthly 0.106846 USD
2025-12-29 Monthly 0.138117 USD
2025-11-25 Monthly 0.102184 USD
2025-10-29 Monthly 0.113811 USD
2025-09-28 Monthly 0.117776 USD
2025-08-27 Monthly 0.106536 USD
2025-07-29 Monthly 0.112717 USD
2025-06-26 Monthly 0.109294 USD
2025-05-28 Monthly 0.108828 USD
2025-04-28 Monthly 0.116614 USD
2025-03-27 Monthly 0.102709 USD
2025-02-26 Monthly 0.107746 USD
2025-01-29 Monthly 0.091495 USD
2024-12-30 Monthly 0.174252 USD
2024-11-26 Monthly 0.092504 USD
2024-10-29 Monthly 0.104126 USD
2024-09-26 Monthly 0.093179 USD
2024-08-28 Monthly 0.097838 USD
2024-07-29 Monthly 0.099589 USD
2024-06-26 Monthly 0.093375 USD
2024-05-29 Monthly 0.109113 USD
2024-04-25 Monthly 0.098835 USD
2024-03-26 Monthly 0.094811 USD
2024-02-26 Monthly 0.100763 USD
2024-01-28 Monthly 0.087727 USD
2023-12-27 Monthly 0.145105 USD
2023-11-27 Monthly 0.104848 USD
2023-10-26 Monthly 0.093707 USD
2023-09-27 Monthly 0.092866 USD
2023-08-29 Monthly 0.098208 USD
2023-07-27 Monthly 0.084509 USD
2023-06-28 Monthly 0.100099 USD
2023-05-25 Monthly 0.083625 USD
2023-04-26 Monthly 0.08129 USD
2023-03-29 Monthly 0.083632 USD
2023-02-26 Monthly 0.094577 USD
2023-01-26 Monthly 0.073323 USD
2022-12-28 Monthly 0.090117 USD
2022-11-28 Monthly 0.087029 USD
2022-10-26 Monthly 0.073416 USD
2022-09-28 Monthly 0.069473 USD
2022-08-29 Monthly 0.07701 USD
2022-07-27 Monthly 0.068085 USD
2022-06-28 Monthly 0.074331 USD
2022-05-26 Monthly 0.054501 USD
2022-04-27 Monthly 0.05226 USD
2022-03-29 Monthly 0.053835 USD
2022-02-24 Monthly 0.0511 USD
2022-01-27 Monthly 0.044646 USD
2021-12-29 Monthly 0.056217 USD
2021-11-28 Monthly 0.056681 USD
2021-10-27 Monthly 0.050221 USD
2021-09-28 Monthly 0.057554 USD
2021-08-29 Monthly 0.057836 USD
2021-07-28 Monthly 0.052485 USD
2021-06-28 Monthly 0.056826 USD
2021-05-26 Monthly 0.056761 USD
2021-04-28 Monthly 0.061111 USD
2021-03-29 Monthly 0.0644 USD
2021-02-24 Monthly 0.0692 USD
2021-01-27 Monthly 0.059374 USD
2020-12-29 Monthly 0.06875 USD
2020-11-26 Monthly 0.07611 USD
2020-10-28 Monthly 0.0703 USD
2020-09-28 Monthly 0.08081 USD
2020-09-09 Monthly 1.20215 USD
2020-08-27 Monthly 0.07685 USD
2020-07-29 Monthly 0.07995 USD
2020-06-28 Monthly 0.12024 USD
2020-05-27 Monthly 0.07787 USD
2020-04-28 Monthly 0.09367 USD
2020-03-29 Monthly 0.086 USD
2020-02-26 Monthly 0.084435 USD
2020-01-29 Monthly 0.0818 USD
2019-12-29 Other Dividend 0.001224 USD
2019-11-26 Monthly 0.080225 USD
2019-10-29 Monthly 0.089292 USD
2019-09-26 Monthly 0.086537 USD
2019-08-28 Monthly 0.0842 USD
2019-07-29 Monthly 0.094794 USD
2019-06-26 Monthly 0.1014 USD
2019-05-22 Monthly 0.08259 USD
2019-04-23 Monthly 0.09095 USD
2019-03-24 Monthly 0.081594 USD
2019-02-24 Monthly 0.100001 USD
2019-01-23 Monthly 0.06611 USD
2018-12-19 Monthly 0.1204 USD
2018-11-19 Monthly 0.0708 USD
2018-10-21 Monthly 0.0376 USD
2018-09-20 Monthly 0.0842 USD
2018-08-20 Monthly 0.075474 USD
2018-07-22 Monthly 0.081319 USD
2018-06-20 Monthly 0.0768 USD
2018-05-20 Monthly 0.06609 USD
2018-04-22 Monthly 0.076301 USD
2018-03-21 Monthly 0.066691 USD
2018-02-21 Monthly 0.077934 USD
2018-01-21 Monthly 0.070681 USD