Bank of America C (ADF) Dividend History

ACM Managed Dollar Income Fund, Inc. is a diversified, closed-end, management investment company. TheFund's investment objective is to seek high current income and capital appreciation over a period of years from investing in a portfolio of high-yielding, high-risk U.S. and non-U.S. fixed income securities, denominated in U.S. dollars.

Last update 11/09/2013


Dividend Yield Summary

  2012 2013 2014 2015 2016 2017
Dividends - - - - - -
Average Price - - - - - -
Yield - - - - - -
• The above Dividend, Average Price, and Yield values for 2017 are year-to-date.

DivInfo Metrics ™

52-Week Projected Earnings Per Share 0.00
52-Week Projected Dividends Per Share 0.00
Dividend Cover -
52-Week Projected Yield -
52-Week Trailing Yield -
6-Year Average Yield -
6-Year Dividend Change -
6-Year Yearly Dividend Change -
Number of Dividend Payments (2002-12-23 - 2008-09-19) 70

Dividend History

Date Amount Per Share Note
2008-09-19 $0.05
2008-08-22 $0.05
2008-07-18 $0.05
2008-06-20 $0.05
2008-04-02 $0.05
2008-03-05 $0.05
2008-02-06 $0.05
2008-01-10 $0.05
2007-12-05 $0.05
2007-11-07 $0.05
2007-10-03 $0.05
2007-09-05 $0.05
2007-08-01 $0.05
2007-07-03 $0.05
2007-06-06 $0.05
2007-05-02 $0.05
2007-04-03 $0.05
2007-03-07 $0.05
2007-02-07 $0.05
2007-01-10 $0.05
2006-12-06 $0.05
2006-11-01 $0.05
2006-10-04 $0.05
2006-09-06 $0.05
2006-08-02 $0.05
2006-07-05 $0.05
2006-06-07 $0.05
2006-05-03 $0.05
2006-04-05 $0.05
2006-03-01 $0.05
2006-02-01 $0.05
2006-01-11 $0.05
2005-12-07 $0.05
2005-11-02 $0.05
2005-10-05 $0.05
2005-09-07 $0.05
2005-08-03 $0.06
2005-07-06 $0.06
2005-06-01 $0.06
2005-05-04 $0.06
2005-04-06 $0.06
2005-03-02 $0.06
2005-02-02 $0.06
2005-01-12 $0.06
2004-12-01 $0.06
2004-11-03 $0.06
2004-10-06 $0.06
2004-09-01 $0.06
2004-08-04 $0.07
2004-06-30 $0.07
2004-06-02 $0.07
2004-05-05 $0.07
2004-03-31 $0.07
2004-03-03 $0.07
2004-02-04 $0.07
2004-01-07 $0.06
2003-12-23 $0.01
2003-12-03 $0.07
2003-11-05 $0.07
2003-10-01 $0.07
2003-09-03 $0.07
2003-07-30 $0.07
2003-07-01 $0.07
2003-06-04 $0.07
2003-04-30 $0.07
2003-04-02 $0.07
2003-03-05 $0.07
2003-02-05 $0.07
2003-01-02 $0.05
2002-12-23 $0.01
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