Gabelli Convertible and Income Securities Mutual Fund(GCV) USD 4.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20232.67%USD 0.12USD0.122023-03-16
202210.67%USD 0.48USD0.122022-12-08
USD0.122022-09-15
USD0.122022-06-14
USD0.122022-03-16
202112.40%USD 0.558USD0.032021-12-29
USD0.16932021-12-09
USD0.11952021-09-15
USD0.11952021-06-15
USD0.11952021-03-16
20209.09%USD 0.409USD0.11952020-12-10
USD0.05062020-09-15
USD0.11952020-06-15
USD0.11952020-03-16
201910.25%USD 0.461USD0.11122019-12-12
USD0.11122019-09-13
USD0.11952019-06-13
USD0.11952019-03-14
201810.62%USD 0.478USD0.11952018-12-06
USD0.11952018-09-13
USD0.11952018-06-14
USD0.11952018-03-14
201710.62%USD 0.478USD0.11952017-12-07
USD0.11952017-09-14
USD0.11952017-06-14
USD0.11952017-03-15
20169.07%USD 0.408USD0.04982016-12-07
USD0.11952016-09-14
USD0.11952016-06-14
USD0.11952016-03-14
201510.62%USD 0.478USD0.11952015-12-09
USD0.11952015-09-14
USD0.11952015-06-12
USD0.11952015-03-13
201411.29%USD 0.508USD0.14942014-12-10
USD0.11952014-09-12
USD0.11952014-06-12
USD0.11952014-03-13
201310.62%USD 0.478USD0.11952013-12-11
USD0.11952013-09-12
USD0.11952013-06-12
USD0.11952013-03-12
201210.62%USD 0.478USD0.11952012-12-12
USD0.11952012-09-12
USD0.11952012-06-13
USD0.11952012-03-14
201110.62%USD 0.478USD0.11952011-12-09
USD0.11952011-09-14
USD0.11952011-06-14
USD0.11952011-03-15
201010.40%USD 0.468USD0.13942010-12-10
USD0.10952010-09-14
USD0.10952010-06-14
USD0.10952010-03-15
20099.30%USD 0.418USD0.11952009-12-10
USD0.09962009-09-14
USD0.09962009-06-12
USD0.09962009-03-13
200817.70%USD 0.796USD0.19912008-12-10
USD0.19912008-09-12
USD0.19912008-06-12
USD0.19912008-03-13
200717.70%USD 0.796USD0.19912007-12-10
USD0.19912007-09-12
USD0.19912007-06-13
USD0.19912007-03-14
200617.70%USD 0.796USD0.19912006-12-11
USD0.19912006-09-13
USD0.19912006-06-14
USD0.19912006-03-15
200517.70%USD 0.796USD0.19912005-12-13
USD0.19912005-09-14
USD0.19912005-06-14
USD0.19912005-03-14
200417.70%USD 0.796USD0.19912004-12-14
USD0.19912004-09-14
USD0.19912004-06-14
USD0.19912004-03-15
200317.70%USD 0.796USD0.19912003-12-12
USD0.19912003-09-12
USD0.19912003-06-12
USD0.19912003-03-13
200216.59%USD 0.747USD0.14942002-12-10
USD0.19912002-09-12
USD0.19912002-06-12
USD0.19912002-03-13
200117.92%USD 0.806USD0.20912001-12-12
USD0.19912001-09-12
USD0.19912001-06-13
USD0.19912001-03-14
200028.76%USD 1.294USD0.6972000-12-13
USD0.19912000-09-13
USD0.19912000-06-14
USD0.19912000-03-15