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Aberdeen Asia-Pacific Income Fund, Inc. dividend

FAX dividend dates, history of Aberdeen Asia-Pacific Income Fund, Inc. annual dividend yield in 2024. Does Aberdeen Asia-Pacific Income Fund, Inc. pay dividends? How often does Aberdeen Asia-Pacific Income Fund, Inc. pay dividends?
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When does Aberdeen Asia-Pacific Income Fund, Inc. pay dividends?

Aberdeen Asia-Pacific Income Fund, Inc. pay dividend 12 times in a year, last FAX dividend payment date was 22/07/2021.

How much dividend does Aberdeen Asia-Pacific Income Fund, Inc. pay?

Aberdeen Asia-Pacific Income Fund, Inc. paid 0.028 $ per share last time and trailing annual dividend yield is 7.89 %.

When is Aberdeen Asia-Pacific Income Fund, Inc. next dividend date?

Next Aberdeen Asia-Pacific Income Fund, Inc. dividend payout will be in August 2024.

Dividends Aberdeen Asia-Pacific Income Fund, Inc. is an online service of the allstockstoday.com project, showing all the information on dividends of Aberdeen Asia-Pacific Income Fund, Inc.. 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. Our service shows the history of dividend payments Aberdeen Asia-Pacific Income Fund, Inc. and forecasts for the payment of dividends. For different payment dates, the dividend chart of Aberdeen Asia-Pacific Income Fund, Inc. draws its own column.

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Aberdeen Asia-Pacific Income Fund, Inc. dividend history

The larger the payout amount, the higher the bar of the chart. It is easy enough to observe the dynamics of the amount of dividends received, analyzing the height of the columns of the chart. The schedule of dividends received by Aberdeen Asia-Pacific Income Fund, Inc. in recent years is displayed at the top of our dividend service page. The dividend schedule of Aberdeen Asia-Pacific Income Fund, Inc. over the past year is most visible.

Aberdeen Asia-Pacific Income Fund, Inc. dividend dates

Dividend payment dates are collected in our online table. Dividend payout table Aberdeen Asia-Pacific Income Fund, Inc. shows more payout dates than the dividend schedule. The latest dividend receipt date Aberdeen Asia-Pacific Income Fund, Inc. is displayed in the first row of the dividend payment service table. The amount of dividend payments Aberdeen Asia-Pacific Income Fund, Inc. is in the second column of the dividend table.

FAX payment date Payout
Payout sum for one stock share.
Dividend yield
Dividend yield is the ratio of the annual dividend per share to the share price.
22/07/2021 0.028 USD 7.89%
22/06/2021 0.028 USD 7.71%
20/05/2021 0.028 USD 7.91%
22/04/2021 0.028 USD 7.94%
23/03/2021 0.028 USD 8.22%
18/02/2021 0.028 USD 7.38%
21/01/2021 0.028 USD 7.64%
30/12/2020 0.028 USD 7.62%
19/11/2020 0.028 USD 8.06%
16/10/2020 0.028 USD 8.57%
18/09/2020 0.028 USD 8.32%
20/08/2020 0.028 USD 8.16%
17/07/2020 0.028 USD 0.73%
18/06/2020 0.028 USD 0.76%
20/05/2020 0.028 USD 0.81%
17/04/2020 0.028 USD 0.85%
19/03/2020 0.028 USD 0.95%
20/02/2020 0.028 USD 0.68%
17/01/2020 0.028 USD 0.64%
30/12/2019 0.028 USD 7.92%
20/11/2019 0.028 USD 7.89%
18/10/2019 0.028 USD 7.96%
20/09/2019 0.028 USD 7.99%
16/08/2019 0.028 USD 8.16%
19/07/2019 0.028 USD 7.94%
20/06/2019 0.028 USD 8.14%
21/05/2019 0.028 USD 8.26%
18/04/2019 0.028 USD 8.2%
20/03/2019 0.035 USD 9.91%
20/02/2019 0.035 USD 9.98%
22/01/2019 0.035 USD 10.53%
28/12/2018 0.035 USD 10.74%
16/11/2018 0.035 USD 10.45%
18/10/2018 0.035 USD 10.47%
21/09/2018 0.035 USD 10.27%
17/08/2018 0.035 USD 10.02%
20/07/2018 0.035 USD 9.77%
20/06/2018 0.035 USD 9.61%
22/05/2018 0.035 USD 9.35%
19/04/2018 0.035 USD 9.03%
16/03/2018 0.035 USD 8.79%
16/02/2018 0.035 USD 8.71%
19/01/2018 0.035 USD 8.47%
28/12/2017 0.035 USD 8.66%
20/11/2017 0.035 USD 8.59%
19/10/2017 0.035 USD 8.22%
21/09/2017 0.035 USD 8.12%
17/08/2017 0.035 USD 8.3%
20/07/2017 0.035 USD 8.24%
16/06/2017 0.035 USD 8.33%
17/05/2017 0.035 USD 8.43%
19/04/2017 0.035 USD 8.43%
16/03/2017 0.035 USD 8.61%
16/02/2017 0.035 USD 8.61%
19/01/2017 0.035 USD 8.84%
28/12/2016 0.035 USD 8.99%
16/11/2016 0.035 USD 8.9%
19/10/2016 0.035 USD 8.54%
19/09/2016 0.035 USD 8.42%
16/08/2016 0.035 USD 7.91%
19/07/2016 0.035 USD 8.12%
16/06/2016 0.035 USD 8.4%
17/05/2016 0.035 USD 8.52%
18/04/2016 0.035 USD 8.38%
16/03/2016 0.035 USD 8.73%
16/02/2016 0.035 USD 9.38%
19/01/2016 0.035 USD 9.7%
29/12/2015 0.035 USD 9.19%
19/11/2015 0.035 USD 9.35%
19/10/2015 0.035 USD 8.94%
17/09/2015 0.035 USD 9.29%
20/08/2015 0.035 USD 8.99%
17/07/2015 0.035 USD 8.73%
18/06/2015 0.035 USD 8.35%
20/05/2015 0.035 USD 7.69%
17/04/2015 0.035 USD 7.71%
19/03/2015 0.035 USD 7.76%
19/02/2015 0.035 USD 7.65%
21/01/2015 0.035 USD 7.46%
29/12/2014 0.035 USD 7.75%
20/11/2014 0.035 USD 7.25%
17/10/2014 0.035 USD 7.25%
18/09/2014 0.035 USD 7.07%
20/08/2014 0.035 USD 6.9%
17/07/2014 0.035 USD 6.75%
19/06/2014 0.035 USD 6.69%
19/05/2014 0.035 USD 6.64%
16/04/2014 0.035 USD 6.83%
20/03/2014 0.035 USD 7.05%
26/02/2014 0.035 USD 7.07%
29/01/2014 0.035 USD 7.32%
27/12/2013 0.035 USD 7.22%
26/11/2013 0.035 USD 6.97%
29/10/2013 0.035 USD 6.49%
26/09/2013 0.035 USD 6.87%
28/08/2013 0.035 USD 6.94%
29/07/2013 0.035 USD 6.81%
26/06/2013 0.035 USD 6.84%
29/05/2013 0.035 USD 6.02%
26/04/2013 0.035 USD 5.45%
26/03/2013 0.035 USD 5.5%
26/02/2013 0.035 USD 5.42%
29/01/2013 0.035 USD 5.32%
27/12/2012 0.035 USD 5.41%
28/11/2012 0.035 USD 5.3%
31/10/2012 0.035 USD 5.32%
26/09/2012 0.035 USD 5.39%
29/08/2012 0.035 USD 5.3%
27/07/2012 0.035 USD 5.3%
27/06/2012 0.035 USD 5.5%
29/05/2012 0.035 USD 5.69%
26/04/2012 0.035 USD 5.6%
28/03/2012 0.035 USD 5.75%
27/02/2012 0.035 USD 5.5%
27/01/2012 0.035 USD 5.48%
28/12/2011 0.035 USD 5.77%
28/11/2011 0.035 USD 6.23%
27/10/2011 0.035 USD 5.87%
28/09/2011 0.035 USD 6.1%
29/08/2011 0.035 USD 5.5%
27/07/2011 0.035 USD 5.47%
28/06/2011 0.035 USD 5.77%
26/05/2011 0.035 USD 5.86%
27/04/2011 0.035 USD 5.83%
29/03/2011 0.035 USD 6.06%
24/02/2011 0.035 USD 6.28%
27/01/2011 0.035 USD 6.29%
28/12/2010 0.035 USD 6.3%
26/11/2010 0.035 USD 6.1%
27/10/2010 0.035 USD 6.1%
28/09/2010 0.035 USD 6.05%
27/08/2010 0.035 USD 6.27%
28/07/2010 0.035 USD 6.54%
28/06/2010 0.035 USD 6.79%
26/05/2010 0.035 USD 7.12%
28/04/2010 0.035 USD 6.19%
29/03/2010 0.035 USD 6.42%
24/02/2010 0.035 USD 6.62%
27/01/2010 0.035 USD 6.46%
29/12/2009 0.035 USD 6.68%
25/11/2009 0.035 USD 6.33%
28/10/2009 0.035 USD 7.07%
28/09/2009 0.035 USD 6.82%
27/08/2009 0.035 USD 7.09%
29/07/2009 0.035 USD 7.19%
26/06/2009 0.035 USD 7.61%
27/05/2009 0.035 USD 7.89%
28/04/2009 0.035 USD 8.57%
27/03/2009 0.035 USD 8.57%
25/02/2009 0.035 USD 9.77%
28/01/2009 0.035 USD 8.97%
29/12/2008 0.085 USD 23.39%
25/11/2008 0.035 USD 11.57%
29/10/2008 0.035 USD 9.93%
26/09/2008 0.035 USD 7.91%
27/08/2008 0.035 USD 7.24%
29/07/2008 0.035 USD 6.87%
26/06/2008 0.035 USD 6.89%
28/05/2008 0.035 USD 6.62%
28/04/2008 0.035 USD 6.73%
27/03/2008 0.035 USD 6.8%
27/02/2008 0.035 USD 6.73%
29/01/2008 0.035 USD 6.98%
27/12/2007 0.035 USD 7.22%
28/11/2007 0.035 USD 7.02%
29/10/2007 0.035 USD 6.71%
26/09/2007 0.035 USD 6.76%
29/08/2007 0.035 USD 7.11%
27/07/2007 0.035 USD 6.55%
27/06/2007 0.035 USD 6.61%
29/05/2007 0.035 USD 6.5%
26/04/2007 0.035 USD 6.4%
28/03/2007 0.035 USD 6.57%
26/02/2007 0.035 USD 6.61%
29/01/2007 0.035 USD 6.77%
27/12/2006 0.035 USD 3.92%
28/11/2006 0.035 USD 3.88%
27/10/2006 0.035 USD 4.04%
27/09/2006 0.035 USD 4.04%
29/08/2006 0.035 USD 4.02%
27/07/2006 0.035 USD 4.04%
28/06/2006 0.035 USD 4.16%

The amount of dividend payments to Aberdeen Asia-Pacific Income Fund, Inc. in the table is shown per share. Aberdeen Asia-Pacific Income Fund, Inc. dividend payout per share is shown in dollars. Dividend yield Aberdeen Asia-Pacific Income Fund, Inc. is the ratio of the amount of dividends paid per year per share to the value of one share. Today, the dividend yield on Aberdeen Asia-Pacific Income Fund, Inc. shares is 7.89 %.

Dividend yield along with changes in the value of the stock price is the main indicator of the profitability of investments. Dividend yield Aberdeen Asia-Pacific Income Fund, Inc. in the past or the history of dividend yield is the main indicator of the stability of the company. The history of dividend yield in our Aberdeen Asia-Pacific Income Fund, Inc. dividend yield table is available for the last 20 payments. You will find the latest Aberdeen Asia-Pacific Income Fund, Inc. dividend yield in the very first row of the table.

Aberdeen Asia-Pacific Income Fund, Inc. stocks data

Aberdeen Asia-Pacific Income Fund, Inc. financials