Dividend & Income Fund(DNIF) USD 11.3625
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20232.20%USD 0.25USD0.252023-03-14
20228.80%USD 1USD0.252022-12-14
USD0.252022-09-15
USD0.252022-06-14
USD0.252022-03-14
202111.62%USD 1.32USD0.572021-12-14
USD0.252021-09-15
USD0.252021-06-11
USD0.252021-03-12
20208.80%USD 1USD0.252020-12-16
USD0.252020-09-14
USD0.252020-06-12
USD0.252020-03-16
20197.04%USD 0.8USD0.22019-12-13
USD0.22019-09-16
USD0.22019-06-14
USD0.22019-03-14
20186.16%USD 0.7USD0.22018-12-14
USD0.22018-09-17
USD0.152018-06-14
USD0.152018-03-14
20175.28%USD 0.6USD0.152017-12-14
USD0.152017-09-15
USD0.152017-06-13
USD0.152017-03-13
20168.80%USD 1USD0.252016-12-13
USD0.252016-09-14
USD0.252016-06-15
USD0.252016-03-11
201514.36%USD 1.632USD0.4082015-12-11
USD0.4082015-09-14
USD0.4082015-06-11
USD0.4082015-03-12
201414.36%USD 1.632USD0.4082014-12-11
USD0.4082014-09-12
USD0.4082014-06-12
USD0.4082014-03-13
201314.36%USD 1.632USD0.4082013-12-12
USD0.4082013-09-13
USD0.4082013-06-13
USD0.4082013-03-13
201214.36%USD 1.632USD0.4082012-12-12
USD0.4082012-09-13
USD0.4082012-06-13
USD0.4082012-03-13
201114.36%USD 1.632USD0.4082011-12-13
USD0.4082011-09-13
USD0.1362011-06-13
USD0.1362011-05-13
USD0.1362011-04-15
USD0.1362011-03-15
USD0.1362011-02-15
USD0.1362011-01-18
201014.36%USD 1.632USD0.1362010-12-21
USD0.1362010-11-16
USD0.1362010-10-19
USD0.1362010-09-21
USD0.1362010-08-17
USD0.1362010-07-20
USD0.1362010-06-15
USD0.1362010-05-18
USD0.1362010-04-20
USD0.1362010-03-16
USD0.1362010-02-16
USD0.1362010-01-19
200914.36%USD 1.632USD0.1362009-12-15
USD0.1362009-11-17
USD0.1362009-10-20
USD0.1362009-09-15
USD0.1362009-08-18
USD0.1362009-07-21
USD0.1362009-06-16
USD0.1362009-05-19
USD0.1362009-04-21
USD0.1362009-03-17
USD0.1362009-02-17
USD0.1362009-01-20
200828.80%USD 3.272USD0.1362008-12-16
USD0.1362008-11-18
USD0.32008-10-21
USD0.32008-09-16
USD0.32008-08-19
USD0.32008-07-15
USD0.32008-06-17
USD0.32008-05-20
USD0.32008-04-15
USD0.32008-03-18
USD0.32008-02-19
USD0.32008-01-15
200731.40%USD 3.568USD0.32007-12-18
USD0.32007-11-19
USD0.32007-10-16
USD0.32007-09-18
USD0.32007-08-21
USD0.32007-07-17
USD0.32007-06-19
USD0.32007-05-15
USD0.2922007-04-17
USD0.2922007-03-20
USD0.2922007-02-20
USD0.2922007-01-16
200632.25%USD 3.664USD0.2922006-12-19
USD0.2922006-11-21
USD0.2922006-10-17
USD0.2922006-09-19
USD0.2922006-08-15
USD0.2922006-07-18
USD0.2922006-06-20
USD0.2922006-05-16
USD0.3322006-04-18
USD0.3322006-03-21
USD0.3322006-02-21
USD0.3322006-01-17
200536.62%USD 4.161USD0.3322005-12-20
USD0.3322005-11-15
USD0.3322005-10-18
USD0.3322005-09-20
USD0.3322005-08-16
USD0.3322005-07-19
USD0.17682005-06-23
USD0.3322005-06-21
USD0.3322005-05-17
USD0.3322005-04-19
USD0.3322005-03-15
USD0.3322005-02-15
USD0.3322005-01-18
200435.06%USD 3.984USD0.3322004-12-21
USD0.3322004-11-16
USD0.3322004-10-19
USD0.3322004-09-21
USD0.3322004-08-17
USD0.3322004-07-20
USD0.3322004-06-15
USD0.3322004-05-18
USD0.3322004-04-20
USD0.3322004-03-16
USD0.3322004-02-17
USD0.3322004-01-20
200335.06%USD 3.984USD0.3322003-12-16
USD0.3322003-11-18
USD0.3322003-10-21
USD0.3322003-09-16
USD0.3322003-08-19
USD0.3322003-07-15
USD0.3322003-06-17
USD0.3322003-05-20
USD0.3322003-04-15
USD0.3322003-03-18
USD0.3322003-02-18
USD0.3322003-01-21
200238.58%USD 4.384USD0.3322002-12-17
USD0.3322002-11-14
USD0.3322002-10-16
USD0.3322002-09-16
USD0.3322002-08-15
USD0.3322002-07-17
USD0.3322002-06-14
USD0.4122002-05-16
USD0.4122002-04-15
USD0.4122002-03-14
USD0.4122002-02-14
USD0.4122002-01-15
200143.51%USD 4.944USD0.4122001-12-18
USD0.4122001-11-16
USD0.4122001-10-17
USD0.4122001-09-18
USD0.4122001-08-17
USD0.4122001-07-18
USD0.4122001-06-15
USD0.4122001-05-16
USD0.4122001-04-12
USD0.4122001-03-16
USD0.4122001-02-15
USD0.4122001-01-12
200043.51%USD 4.944USD0.4122000-12-15
USD0.4122000-11-16
USD0.4122000-10-18
USD0.4122000-09-15
USD0.4122000-08-17
USD0.4122000-07-19
USD0.4122000-06-16
USD0.4122000-05-17
USD0.4122000-04-14
USD0.4122000-03-17
USD0.4122000-02-16
USD0.4122000-01-13