NICHOLAS EQUITY INCOME FUND INC CLASS I(NSEIX) USD 19.99
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.90%USD 0.78USD0.093572022-12-28
USD0.09682022-10-26
USD0.09262022-08-03
USD0.49682022-05-11
202112.81%USD 2.56USD1.17272021-12-30
USD0.09062021-10-27
USD0.0862021-08-04
USD1.21072021-05-12
20204.89%USD 0.977USD0.6742020-12-30
USD0.08862020-10-28
USD0.08122020-08-05
USD0.1332020-05-07
201912.59%USD 2.518USD1.6262019-12-30
USD0.08072019-10-30
USD0.06972019-08-07
USD0.74132019-05-08
201814.78%USD 2.954USD1.57282018-12-28
USD0.10362018-10-31
USD0.10382018-08-02
USD1.17362018-05-09
20177.06%USD 1.411USD0.9172017-12-28
USD0.012017-11-02
USD0.08572017-08-03
USD0.39792017-05-10
20163.79%USD 0.757USD0.08472016-12-28
USD0.09182016-11-03
USD0.09992016-08-04
USD0.48062016-05-05
20156.61%USD 1.321USD0.52492015-12-30
USD0.10492015-10-29
USD0.1092015-08-05
USD0.58182015-05-06
20145.88%USD 1.176USD0.40752014-12-30
USD0.11982014-10-30
USD0.08842014-08-06
USD0.56052014-05-07
20136.07%USD 1.213USD0.79582013-12-30
USD0.07612013-11-06
USD0.11322013-08-07
USD0.22792013-05-02
20124.12%USD 0.824USD0.5242012-12-27
USD0.08342012-11-02
USD0.09212012-07-27
USD0.12472012-05-10
20115.08%USD 1.016USD0.45022011-12-29
USD0.10552011-11-03
USD0.09622011-07-28
USD0.36422011-05-03
20101.53%USD 0.306USD0.12372010-12-30
USD0.06472010-10-28
USD0.07592010-07-29
USD0.04152010-05-05
20091.58%USD 0.317USD0.06242009-12-30
USD0.09112009-11-03
USD0.07242009-07-30
USD0.09082009-05-01
20082.10%USD 0.419USD0.11462008-12-29
USD0.09712008-11-04
USD0.10512008-08-01
USD0.1022008-05-05
200711.86%USD 2.372USD1.68292007-12-27
USD0.08952007-10-30
USD0.08612007-07-27
USD0.51322007-05-07
20062.89%USD 0.578USD0.30592006-12-28
USD0.09682006-10-31
USD0.0952006-07-27
USD0.07982006-05-05
20054.05%USD 0.81USD0.30692005-12-29
USD0.07922005-10-31
USD0.08472005-07-28
USD0.33942005-05-03
20041.06%USD 0.212USD0.05882004-12-30
USD0.05752004-10-28
USD0.052004-07-26
USD0.04572004-04-30
20030.74%USD 0.149USD0.04662003-12-30
USD0.03752003-10-30
USD0.0322003-07-25
USD0.03252003-05-05
20020.96%USD 0.192USD0.0532002-12-26
USD0.0512002-10-30
USD0.0452002-07-24
USD0.0432002-04-25
20010.85%USD 0.17USD0.05872001-12-27
USD0.0372001-10-25
USD0.042001-07-26
USD0.0342001-04-26
20000.99%USD 0.198USD0.052000-12-28
USD0.072000-10-27
USD0.0782000-08-01