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Übersicht der Dividenden für Western Asset Diversified Income Fund-Aktien (WDI)

Ex-Dividenden-Tag
02/21/2025
Jahresdividende
$1.782
Dividendenrendite
12.12%
KGV
-

Dividendenhistorie der Western Asset Diversified Income Fund-Aktie (WDI)

Ex/Gültigkeitsdatum Typ Barbetrag Erklärungsdatum Stichtag Zahlungstag
02/21/2025 CD $0.1485 11/19/2024 02/21/2025 03/03/2025
01/24/2025 CD $0.1485 11/19/2024 01/24/2025 02/03/2025
12/23/2024 CD $0.1485 11/19/2024 12/23/2024 12/31/2024
11/21/2024 CD $0.1485 08/06/2024 11/21/2024 12/02/2024
10/24/2024 CD $0.1485 08/06/2024 10/24/2024 11/01/2024
09/23/2024 CD $0.1485 08/06/2024 09/23/2024 10/01/2024
08/23/2024 CD $0.1485 05/22/2024 08/23/2024 09/03/2024
07/24/2024 CD $0.1485 05/22/2024 07/24/2024 08/01/2024
06/21/2024 CD $0.1485 05/22/2024 06/21/2024 07/01/2024
05/22/2024 CD $0.1435 02/20/2024 05/23/2024 06/03/2024
04/22/2024 CD $0.1435 02/20/2024 04/23/2024 05/01/2024
03/20/2024 CD $0.1435 02/20/2024 03/21/2024 04/01/2024
02/21/2024 CD $0.143 11/14/2023 02/22/2024 03/01/2024
01/23/2024 CD $0.143 11/14/2023 01/24/2024 02/01/2024
12/20/2023 CD $0.143 11/14/2023 12/21/2023 12/29/2023
11/21/2023 CD $0.14 08/02/2023 11/22/2023 12/01/2023
10/23/2023 CD $0.14 08/02/2023 10/24/2023 11/01/2023
09/21/2023 CD $0.14 08/02/2023 09/22/2023 10/02/2023
08/23/2023 CD $0.135 05/15/2023 08/24/2023 09/01/2023
07/21/2023 CD $0.135 05/15/2023 07/24/2023 08/01/2023
06/22/2023 CD $0.135 05/15/2023 06/23/2023 07/03/2023
05/22/2023 CD $0.13 02/14/2023 05/23/2023 06/01/2023
04/20/2023 CD $0.13 02/14/2023 04/21/2023 05/01/2023
03/23/2023 CD $0.13 02/14/2023 03/24/2023 04/03/2023
02/17/2023 CD $0.128 11/14/2022 02/21/2023 03/01/2023
01/23/2023 CD $0.128 11/14/2022 01/24/2023 02/01/2023
12/21/2022 CD $0.128 11/14/2022 12/22/2022 12/30/2022
11/21/2022 CD $0.125 08/02/2022 11/22/2022 12/01/2022
10/21/2022 CD $0.125 08/02/2022 10/24/2022 11/01/2022
09/22/2022 CD $0.125 08/02/2022 09/23/2022 10/03/2022
08/23/2022 CD $0.12 05/17/2022 08/24/2022 09/01/2022
07/21/2022 CD $0.12 05/17/2022 07/22/2022 08/01/2022
06/22/2022 CD $0.12 05/17/2022 06/23/2022 07/01/2022
05/20/2022 CD $0.117 02/16/2022 05/23/2022 06/01/2022
04/21/2022 CD $0.117 02/16/2022 04/22/2022 05/02/2022
03/23/2022 CD $0.117 02/16/2022 03/24/2022 04/01/2022
02/17/2022 CD $0.117 11/17/2021 02/18/2022 03/01/2022
01/21/2022 CD $0.117 11/17/2021 01/24/2022 02/01/2022
12/22/2021 CD $0.117 11/17/2021 12/23/2021 12/31/2021
11/19/2021 CD $0.117 09/09/2021 11/22/2021 12/01/2021
10/21/2021 CD $0.117 09/09/2021 10/22/2021 11/01/2021
09/22/2021 CD $0.117 09/09/2021 09/23/2021 10/01/2021
08/23/2021 CD $0.117 08/02/2021 08/24/2021 09/01/2021
closed_end_fund_debt FTF
$6.525
price up icon 0.23%
closed_end_fund_debt PTY
$14.57
price down icon 0.03%
closed_end_fund_debt GOF
$15.80
price up icon 0.54%
closed_end_fund_debt NZF
$12.62
price up icon 0.40%
closed_end_fund_debt JPC
$8.07
price up icon 0.50%
closed_end_fund_debt NVG
$12.80
price up icon 0.12%
Kapitalisierung:     |  Volumen (24h):