Tri Continental Closed Fund(TY) USD 26.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.08%USD 0.29USD0.292023-03-10
20224.15%USD 1.116USD0.2652022-12-09
USD0.26952022-09-09
USD0.3112022-06-10
USD0.272022-03-15
20214.02%USD 1.083USD0.29962021-12-14
USD0.29862021-09-14
USD0.23882021-06-15
USD0.24552021-03-16
20204.00%USD 1.078USD0.2682020-12-15
USD0.26222020-09-15
USD0.28242020-06-16
USD0.2652020-03-17
20194.17%USD 1.123USD0.25122019-12-17
USD0.26022019-09-17
USD0.37152019-06-18
USD0.242019-03-19
20184.36%USD 1.174USD0.2522018-12-18
USD0.23852018-09-18
USD0.45312018-06-19
USD0.23012018-03-21
20174.34%USD 1.167USD0.40442017-12-20
USD0.26142017-09-15
USD0.25092017-06-15
USD0.25072017-03-16
20163.38%USD 0.909USD0.242016-12-15
USD0.23362016-09-15
USD0.22012016-06-16
USD0.21552016-03-10
20153.01%USD 0.81USD0.2092015-12-10
USD0.1952015-09-10
USD0.2012015-06-11
USD0.2052015-03-12
20142.79%USD 0.751USD0.20052014-12-11
USD0.19252014-09-11
USD0.1852014-06-12
USD0.17252014-03-13
20132.51%USD 0.676USD0.16252013-12-12
USD0.1622013-09-12
USD0.16152013-06-13
USD0.192013-03-14
20122.23%USD 0.6USD0.192012-12-14
USD0.1552012-09-14
USD0.152012-06-15
USD0.1052012-03-16
20111.02%USD 0.275USD0.0752011-12-08
USD0.072011-09-08
USD0.0652011-06-09
USD0.0652011-03-10
20100.93%USD 0.249USD0.1052010-12-09
USD0.052010-09-09
USD0.052010-06-10
USD0.0442010-03-18
20090.72%USD 0.193USD0.0442009-12-10
USD0.0442009-09-10
USD0.0492009-05-28
USD0.0562009-03-12
20087.86%USD 2.114USD0.4282008-11-25
USD0.5132008-09-05
USD0.542008-06-06
USD0.6332008-03-14
20079.08%USD 2.444USD0.7222007-12-06
USD0.7552007-09-07
USD0.7072007-07-13
USD0.262007-03-16
20061.04%USD 0.28USD0.072006-12-08
USD0.072006-09-15
USD0.072006-06-08
USD0.072006-03-13
20050.89%USD 0.24USD0.072005-12-02
USD0.062005-09-16
USD0.062005-06-09
USD0.052005-03-17
20040.85%USD 0.229USD0.112004-12-02
USD0.03982004-09-16
USD0.03982004-06-10
USD0.03982004-03-18
20030.63%USD 0.169USD0.03982003-12-04
USD0.03982003-09-12
USD0.03982003-06-13
USD0.04982003-03-14
20021.04%USD 0.279USD0.072002-12-05
USD0.072002-09-13
USD0.06972002-06-17
USD0.06972002-03-15
20015.16%USD 1.388USD1.07582001-12-06
USD0.06972001-09-14
USD0.17232001-06-07
USD0.06972001-03-16
200013.48%USD 3.627USD2.822000-12-07
USD0.07972000-09-15
USD0.63752000-06-08
USD0.08962000-03-16