VALUE LINE INCOME & GROWTH FUND INC VALUE LINE INCOME & GROWTH FUND INC(VALIX) USD 9.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20229.61%USD 0.866USD0.86622022-12-14
202114.90%USD 1.342USD1.342392021-12-14
20207.86%USD 0.709USD0.708592020-12-10
201911.14%USD 1.004USD1.00352019-12-12
20188.22%USD 0.74USD0.734542018-12-19
USD0.001622018-06-26
USD0.004112018-03-28
20176.15%USD 0.554USD0.522952017-12-28
USD0.010012017-09-26
USD0.01252017-06-27
USD0.0092017-03-28
20165.50%USD 0.496USD0.0082016-12-22
USD0.470252016-12-21
USD0.00232016-09-27
USD0.007182016-06-28
USD0.008092016-03-29
20156.64%USD 0.599USD0.546762015-12-22
USD0.015022015-09-29
USD0.016032015-06-25
USD0.020762015-03-26
201416.42%USD 1.479USD0.0192014-12-22
USD1.364552014-12-19
USD0.024122014-09-26
USD0.039022014-06-27
USD0.032752014-03-28
20135.92%USD 0.533USD0.447042013-12-24
USD0.028252013-09-27
USD0.029322013-06-25
USD0.028482013-03-28
20125.22%USD 0.471USD0.378392012-12-28
USD0.028452012-09-27
USD0.03212012-06-28
USD0.031682012-03-29
20111.26%USD 0.114USD0.03882011-12-13
USD0.027162011-09-27
USD0.026932011-06-28
USD0.020732011-03-29
20101.18%USD 0.107USD0.025722010-12-21
USD0.024282010-09-28
USD0.029592010-06-22
USD0.0052010-04-28
USD0.0222010-03-24
20091.13%USD 0.102USD0.030152009-12-22
USD0.020272009-09-29
USD0.035872009-06-23
USD0.015842009-03-24
20082.92%USD 0.263USD0.10752008-12-23
USD0.070282008-09-29
USD0.042008-06-19
USD0.0452008-03-19
20078.68%USD 0.783USD0.585112007-12-18
USD0.0552007-09-25
USD0.0552007-06-19
USD0.08742007-03-20
20067.85%USD 0.708USD0.465062006-12-19
USD0.14752006-09-26
USD0.062006-06-20
USD0.0352006-03-21
20058.94%USD 0.806USD0.705532005-12-20
USD0.032005-09-27
USD0.042005-06-21
USD0.032005-03-22
200411.65%USD 1.05USD0.9752004-12-21
USD0.0252004-09-24
USD0.0252004-06-22
USD0.0252004-03-23
20035.17%USD 0.465USD0.39542003-12-23
USD0.0252003-09-23
USD0.0252003-06-24
USD0.022003-03-25
20022.10%USD 0.189USD0.11162002-12-18
USD0.0352002-09-24
USD0.0252002-06-25
USD0.01752002-03-26
20013.96%USD 0.357USD0.26672001-12-18
USD0.0252001-09-25
USD0.032001-06-26
USD0.0352001-03-21
200010.49%USD 0.945USD0.852000-12-27
USD0.032000-09-25
USD0.032000-06-21
USD0.0352000-03-23