American Income F (MRF) Dividend History
American Income Fund, Inc. is a diversified, closed-end management investment company. The Fund's investment objective is to achieve high monthly income, consistent with preservation of capital.
Last update 12/31/2020
Dividend Yield Summary
|
2019 |
2020 |
2021 |
2022 |
2023 |
2024 |
Dividends |
- |
- |
- |
- |
- |
- |
Average Price |
- |
- |
- |
- |
- |
- |
Yield |
- |
- |
- |
- |
- |
- |
• The above Dividend, Average Price, and Yield values for 2024 are year-to-date.
DivInfo Metrics ™
52-Week Projected Earnings Per Share |
0.69 |
52-Week Projected Dividends Per Share |
0.57 |
Dividend Cover |
1.21 : 1 |
52-Week Projected Yield |
6.80% |
52-Week Trailing Yield |
- |
6-Year Average Yield |
- |
6-Year Dividend Change |
- |
6-Year Yearly Dividend Change |
- |
Number of Dividend Payments
(2002-11-01 - 2014-09-02)
|
138 |
Dividend History
Date |
Amount Per Share |
Note |
2014-09-02 |
$0.04 |
|
2014-09-01 |
$0.01 |
|
2014-08-01 |
$0.04 |
|
2014-07-01 |
$0.04 |
|
2014-06-02 |
$0.04 |
|
2014-05-01 |
$0.04 |
|
2014-04-01 |
$0.04 |
|
2014-03-03 |
$0.04 |
|
2014-02-03 |
$0.04 |
|
2013-12-26 |
$0.04 |
|
2013-12-02 |
$0.04 |
|
2013-11-01 |
$0.04 |
|
2013-10-01 |
$0.04 |
|
2013-09-03 |
$0.04 |
|
2013-08-01 |
$0.04 |
|
2013-07-01 |
$0.04 |
|
2013-06-03 |
$0.04 |
|
2013-05-01 |
$0.05 |
|
2013-04-01 |
$0.05 |
|
2013-03-01 |
$0.05 |
|
2013-02-01 |
$0.05 |
|
2012-12-03 |
$0.05 |
|
2012-11-01 |
$0.05 |
|
2012-10-01 |
$0.05 |
|
2012-09-04 |
$0.05 |
|
2012-08-01 |
$0.05 |
|
2012-07-02 |
$0.05 |
|
2012-06-01 |
$0.05 |
|
2012-05-01 |
$0.05 |
|
2012-04-02 |
$0.05 |
|
2012-03-01 |
$0.05 |
|
2012-02-01 |
$0.05 |
|
2011-12-28 |
$0.05 |
|
2011-12-01 |
$0.05 |
|
2011-11-01 |
$0.05 |
|
2011-10-03 |
$0.05 |
|
2011-09-01 |
$0.05 |
|
2011-08-01 |
$0.05 |
|
2011-07-01 |
$0.05 |
|
2011-06-01 |
$0.05 |
|
2011-05-02 |
$0.05 |
|
2011-04-01 |
$0.05 |
|
2011-03-01 |
$0.05 |
|
2011-02-01 |
$0.05 |
|
2010-12-28 |
$0.06 |
|
2010-12-01 |
$0.06 |
|
2010-11-01 |
$0.06 |
|
2010-10-01 |
$0.06 |
|
2010-09-01 |
$0.06 |
|
2010-08-02 |
$0.06 |
|
2010-07-01 |
$0.06 |
|
2010-06-01 |
$0.06 |
|
2010-05-03 |
$0.06 |
|
2010-04-01 |
$0.06 |
|
2010-03-02 |
$0.06 |
|
2010-02-02 |
$0.06 |
|
2009-12-28 |
$0.06 |
|
2009-12-01 |
$0.06 |
|
2009-11-02 |
$0.06 |
|
2009-10-01 |
$0.06 |
|
2009-09-02 |
$0.06 |
|
2009-08-03 |
$0.06 |
|
2009-07-01 |
$0.06 |
|
2009-06-01 |
$0.06 |
|
2009-05-01 |
$0.06 |
|
2009-04-01 |
$0.05 |
|
2009-03-02 |
$0.05 |
|
2009-02-02 |
$0.05 |
|
2008-09-24 |
$0.05 |
|
2008-08-27 |
$0.05 |
|
2008-07-23 |
$0.05 |
|
2008-06-25 |
$0.05 |
|
2008-04-01 |
$0.04 |
|
2008-03-03 |
$0.04 |
|
2008-02-01 |
$0.04 |
|
2007-12-26 |
$0.04 |
|
2007-12-03 |
$0.04 |
|
2007-11-01 |
$0.04 |
|
2007-10-01 |
$0.04 |
|
2007-09-04 |
$0.04 |
|
2007-08-01 |
$0.04 |
|
2007-07-02 |
$0.04 |
|
2007-06-01 |
$0.04 |
|
2007-05-01 |
$0.04 |
|
2007-04-02 |
$0.04 |
|
2007-03-01 |
$0.04 |
|
2007-02-01 |
$0.04 |
|
2006-12-26 |
$0.04 |
|
2006-12-01 |
$0.04 |
|
2006-11-01 |
$0.04 |
|
2006-10-02 |
$0.05 |
|
2006-09-01 |
$0.05 |
|
2006-08-01 |
$0.05 |
|
2006-07-03 |
$0.05 |
|
2006-06-01 |
$0.05 |
|
2006-05-01 |
$0.04 |
|
2006-04-03 |
$0.04 |
|
2006-03-01 |
$0.04 |
|
2006-02-01 |
$0.04 |
|
2005-12-22 |
$0.04 |
|
2005-12-01 |
$0.04 |
|
2005-11-01 |
$0.04 |
|
2005-10-03 |
$0.04 |
|
2005-09-01 |
$0.04 |
|
2005-08-01 |
$0.04 |
|
2005-07-01 |
$0.04 |
|
2005-06-01 |
$0.05 |
|
2005-05-02 |
$0.05 |
|
2005-04-01 |
$0.05 |
|
2005-03-01 |
$0.05 |
|
2005-02-01 |
$0.05 |
|
2004-12-23 |
$0.07 |
|
2004-12-01 |
$0.05 |
|
2004-11-01 |
$0.05 |
|
2004-10-01 |
$0.05 |
|
2004-09-01 |
$0.05 |
|
2004-08-02 |
$0.05 |
|
2004-07-01 |
$0.05 |
|
2004-06-01 |
$0.05 |
|
2004-05-03 |
$0.05 |
|
2004-04-01 |
$0.05 |
|
2004-03-01 |
$0.05 |
|
2004-02-02 |
$0.05 |
|
2003-12-26 |
$0.05 |
|
2003-12-01 |
$0.05 |
|
2003-11-03 |
$0.05 |
|
2003-10-01 |
$0.05 |
|
2003-09-02 |
$0.05 |
|
2003-08-01 |
$0.05 |
|
2003-07-01 |
$0.05 |
|
2003-06-02 |
$0.06 |
|
2003-05-01 |
$0.06 |
|
2003-04-01 |
$0.06 |
|
2003-03-03 |
$0.06 |
|
2003-02-03 |
$0.06 |
|
2002-12-26 |
$0.06 |
|
2002-12-02 |
$0.06 |
|
2002-11-01 |
$0.06 |
|