When does Credit Suisse Asset Management Income Fund, Inc. pay dividends?
Credit Suisse Asset Management Income Fund, Inc. pay dividend 12 times in a year, last CIK dividend payment date was 16/07/2021.
How much dividend does Credit Suisse Asset Management Income Fund, Inc. pay?
Credit Suisse Asset Management Income Fund, Inc. paid 0.023 $ per share last time and trailing annual dividend yield is 8.09 %.
When is Credit Suisse Asset Management Income Fund, Inc. next dividend date?
Next Credit Suisse Asset Management Income Fund, Inc. dividend payout will be in August 2024.
Dividends on shares of Credit Suisse Asset Management Income Fund, Inc. - the main income, which shows the effectiveness of investing money in shares of this company. Dates and amounts of dividend payments are determined by the company. The dividend payout forecast is the main trend for the change in the value of shares. The site service allstockstoday.com collects and stores the dividend payment history of Credit Suisse Asset Management Income Fund, Inc.. Credit Suisse Asset Management Income Fund, Inc. dividends, payment history you can see in our service in the form of a diagram for the last few payments.
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Credit Suisse Asset Management Income Fund, Inc. dividend history
The height of the bar shows the size of the amount of dividend payments. Changing the height of the columns of the chart clearly shows the change in the amount of payments for the last dates. Dividends Credit Suisse Asset Management Income Fund, Inc., online payment schedule is presented in our service. The dividend schedule of Credit Suisse Asset Management Income Fund, Inc. over the past year is most visible.
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Credit Suisse Asset Management Income Fund, Inc. dividend dates
The dates for the payment of dividends on CIK shares are presented in the online service table. Credit Suisse Asset Management Income Fund, Inc. dividend table contains more information than the schedule on dividend payment dates. Each line of the dividend payment table corresponds to its payment date. You can see the size of dividends of Credit Suisse Asset Management Income Fund, Inc. for the required date in the second column of the dividend table.
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CIK payment date
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Payout
Payout sum for one stock share.
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Dividend yield
Dividend yield is the ratio of the annual dividend per share to the share price.
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16/07/2021 |
0.023 USD |
8.09% |
15/06/2021 |
0.023 USD |
7.89% |
17/05/2021 |
0.023 USD |
7.8% |
16/04/2021 |
0.023 USD |
8.09% |
15/03/2021 |
0.023 USD |
8.26% |
16/02/2021 |
0.023 USD |
8.44% |
19/01/2021 |
0.023 USD |
8.68% |
15/12/2020 |
0.023 USD |
8.73% |
16/11/2020 |
0.023 USD |
8.99% |
16/10/2020 |
0.023 USD |
9.23% |
16/09/2020 |
0.023 USD |
9.39% |
17/08/2020 |
0.023 USD |
9.52% |
16/07/2020 |
0.023 USD |
0.86% |
15/06/2020 |
0.023 USD |
0.86% |
15/05/2020 |
0.023 USD |
0.94% |
16/04/2020 |
0.023 USD |
1.03% |
16/03/2020 |
0.023 USD |
1.11% |
18/02/2020 |
0.023 USD |
0.75% |
16/01/2020 |
0.023 USD |
0.7% |
16/12/2019 |
0.023 USD |
8.52% |
18/11/2019 |
0.023 USD |
8.68% |
16/10/2019 |
0.023 USD |
8.83% |
17/09/2019 |
0.023 USD |
8.75% |
15/08/2019 |
0.023 USD |
8.79% |
16/07/2019 |
0.023 USD |
8.82% |
17/06/2019 |
0.023 USD |
8.54% |
15/05/2019 |
0.023 USD |
8.99% |
15/04/2019 |
0.023 USD |
8.93% |
15/03/2019 |
0.023 USD |
8.96% |
15/02/2019 |
0.023 USD |
9.26% |
16/01/2019 |
0.023 USD |
9.45% |
10/12/2018 |
0.023 USD |
9.65% |
08/11/2018 |
0.023 USD |
8.96% |
09/10/2018 |
0.023 USD |
8.76% |
11/09/2018 |
0.023 USD |
8.71% |
08/08/2018 |
0.023 USD |
8.85% |
10/07/2018 |
0.023 USD |
8.85% |
08/06/2018 |
0.022 USD |
8.35% |
08/05/2018 |
0.022 USD |
8.28% |
09/04/2018 |
0.022 USD |
8.22% |
08/03/2018 |
0.022 USD |
8.12% |
08/02/2018 |
0.022 USD |
8.1% |
09/01/2018 |
0.022 USD |
8.02% |
08/12/2017 |
0.022 USD |
8.15% |
08/11/2017 |
0.022 USD |
8.02% |
10/10/2017 |
0.022 USD |
7.72% |
11/09/2017 |
0.022 USD |
7.93% |
07/08/2017 |
0.022 USD |
7.83% |
10/07/2017 |
0.022 USD |
7.83% |
07/06/2017 |
0.022 USD |
7.95% |
05/05/2017 |
0.022 USD |
7.93% |
07/04/2017 |
0.022 USD |
8% |
07/03/2017 |
0.022 USD |
7.95% |
07/02/2017 |
0.022 USD |
8.07% |
09/01/2017 |
0.022 USD |
8.17% |
07/12/2016 |
0.022 USD |
8.57% |
07/11/2016 |
0.022 USD |
8.66% |
07/10/2016 |
0.022 USD |
8.49% |
08/09/2016 |
0.022 USD |
8.43% |
05/08/2016 |
0.022 USD |
8.83% |
08/07/2016 |
0.022 USD |
8.83% |
07/06/2016 |
0.022 USD |
8.8% |
06/05/2016 |
0.022 USD |
9.2% |
07/04/2016 |
0.022 USD |
9.46% |
07/03/2016 |
0.022 USD |
9.67% |
05/02/2016 |
0.022 USD |
9.92% |
08/01/2016 |
0.022 USD |
9.5% |
07/12/2015 |
0.022 USD |
9.36% |
06/11/2015 |
0.022 USD |
9.13% |
07/10/2015 |
0.022 USD |
9.36% |
08/09/2015 |
0.022 USD |
9.17% |
07/08/2015 |
0.022 USD |
8.86% |
08/07/2015 |
0.022 USD |
8.49% |
05/06/2015 |
0.022 USD |
8.2% |
07/05/2015 |
0.022 USD |
8.17% |
08/04/2015 |
0.022 USD |
8.2% |
06/03/2015 |
0.022 USD |
8.17% |
06/02/2015 |
0.022 USD |
8.2% |
08/01/2015 |
0.022 USD |
8.12% |
05/12/2014 |
0.022 USD |
8% |
07/11/2014 |
0.022 USD |
7.76% |
07/10/2014 |
0.022 USD |
7.74% |
08/09/2014 |
0.022 USD |
7.48% |
07/08/2014 |
0.024 USD |
8.16% |
08/07/2014 |
0.024 USD |
7.96% |
06/06/2014 |
0.024 USD |
8.04% |
07/05/2014 |
0.024 USD |
7.91% |
07/04/2014 |
0.024 USD |
7.96% |
07/03/2014 |
0.024 USD |
7.98% |
07/02/2014 |
0.024 USD |
8% |
08/01/2014 |
0.024 USD |
8.07% |
06/12/2013 |
0.024 USD |
7.48% |
06/11/2013 |
0.024 USD |
7.31% |
07/10/2013 |
0.024 USD |
7.25% |
09/09/2013 |
0.024 USD |
7.35% |
08/07/2013 |
0.024 USD |
7.33% |
07/06/2013 |
0.024 USD |
6.63% |
07/05/2013 |
0.026 USD |
6.88% |
05/04/2013 |
0.026 USD |
6.89% |
07/03/2013 |
0.026 USD |
6.92% |
07/02/2013 |
0.026 USD |
6.94% |
08/01/2013 |
0.026 USD |
7.1% |
07/12/2012 |
0.027 USD |
8.06% |
07/11/2012 |
0.027 USD |
7.96% |
04/10/2012 |
0.027 USD |
8.04% |
10/09/2012 |
0.027 USD |
8.14% |
07/08/2012 |
0.027 USD |
8.27% |
09/07/2012 |
0.027 USD |
8.35% |
07/06/2012 |
0.027 USD |
8.76% |
07/05/2012 |
0.027 USD |
8.39% |
09/04/2012 |
0.027 USD |
8.73% |
07/03/2012 |
0.027 USD |
8.57% |
07/02/2012 |
0.027 USD |
8.42% |
09/01/2012 |
0.027 USD |
8.88% |
09/12/2011 |
0.027 USD |
8.2% |
07/11/2011 |
0.027 USD |
8.14% |
06/10/2011 |
0.027 USD |
8.68% |
07/09/2011 |
0.027 USD |
8.16% |
05/08/2011 |
0.027 USD |
8.3% |
08/07/2011 |
0.027 USD |
7.62% |
07/06/2011 |
0.027 USD |
7.75% |
06/05/2011 |
0.027 USD |
7.9% |
07/04/2011 |
0.027 USD |
8.16% |
10/03/2011 |
0.027 USD |
8.14% |
07/02/2011 |
0.027 USD |
8.11% |
29/12/2010 |
0.032 USD |
11.65% |
02/12/2010 |
0.027 USD |
9.56% |
02/11/2010 |
0.027 USD |
9.36% |
04/10/2010 |
0.027 USD |
9.7% |
02/09/2010 |
0.027 USD |
9.8% |
03/08/2010 |
0.027 USD |
9.59% |
12/07/2010 |
0.027 USD |
9.97% |
02/06/2010 |
0.027 USD |
10.48% |
03/05/2010 |
0.027 USD |
9.46% |
05/04/2010 |
0.027 USD |
9.59% |
05/03/2010 |
0.027 USD |
10.14% |
02/02/2010 |
0.027 USD |
10.48% |
04/01/2010 |
0.027 USD |
10.38% |
03/12/2009 |
0.027 USD |
9.03% |
02/11/2009 |
0.027 USD |
9.4% |
02/10/2009 |
0.027 USD |
9.37% |
03/09/2009 |
0.027 USD |
9.71% |
03/08/2009 |
0.03 USD |
10.54% |
01/07/2009 |
0.03 USD |
11.58% |
02/06/2009 |
0.03 USD |
11.7% |
01/05/2009 |
0.03 USD |
12.84% |
03/04/2009 |
0.03 USD |
14.35% |
05/03/2009 |
0.03 USD |
15.94% |
02/02/2009 |
0.03 USD |
13.31% |
29/12/2008 |
0.073 USD |
43.33% |
03/12/2008 |
0.03 USD |
19.7% |
03/11/2008 |
0.03 USD |
16.18% |
02/10/2008 |
0.03 USD |
14.89% |
03/09/2008 |
0.03 USD |
12.38% |
01/08/2008 |
0.03 USD |
12.26% |
02/07/2008 |
0.03 USD |
11.85% |
03/06/2008 |
0.03 USD |
10.83% |
01/05/2008 |
0.03 USD |
10.99% |
03/04/2008 |
0.03 USD |
11.68% |
03/03/2008 |
0.03 USD |
11.17% |
01/02/2008 |
0.03 USD |
10.83% |
03/01/2008 |
0.03 USD |
10.77% |
03/12/2007 |
0.03 USD |
9.14% |
01/11/2007 |
0.03 USD |
8.94% |
03/10/2007 |
0.03 USD |
8.46% |
31/08/2007 |
0.03 USD |
8.46% |
02/08/2007 |
0.03 USD |
8.53% |
02/07/2007 |
0.03 USD |
7.67% |
01/06/2007 |
0.03 USD |
7.38% |
03/05/2007 |
0.03 USD |
7.4% |
03/04/2007 |
0.03 USD |
7.71% |
01/03/2007 |
0.03 USD |
7.66% |
01/02/2007 |
0.03 USD |
7.43% |
27/12/2006 |
0.04 USD |
6.39% |
01/12/2006 |
0.03 USD |
4.78% |
02/11/2006 |
0.03 USD |
4.87% |
03/10/2006 |
0.03 USD |
5.06% |
31/08/2006 |
0.03 USD |
5.13% |
03/08/2006 |
0.03 USD |
5.21% |
30/06/2006 |
0.03 USD |
5.3% |
The dividend amount of Credit Suisse Asset Management Income Fund, Inc. is given per share of the company. Credit Suisse Asset Management Income Fund, Inc. dividend per share is calculated and shown in dollars. Dividend yield Credit Suisse Asset Management Income Fund, Inc. - an estimated amount equal to the ratio of the amount of dividends paid for one year to the value of one share of Credit Suisse Asset Management Income Fund, Inc. for the settlement period. The dividend yield of Credit Suisse Asset Management Income Fund, Inc. shares is now in our online service - 8.09 %.
Dividend yield along with changes in the value of the stock price is the main indicator of the profitability of investments. The history of Credit Suisse Asset Management Income Fund, Inc. dividend yield is the main indicator of a company's success over a long period of time. The history of dividend yield in our online service is presented in the form of a dividend yield table for Credit Suisse Asset Management Income Fund, Inc. for the last 20 payments. You will find the latest Credit Suisse Asset Management Income Fund, Inc. dividend yield in the very first row of the table.
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