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Credit Suisse Asset Management Income Fund, Inc. (CIK) Dividends

Currency in USD Disclaimer
$2.98 $0.03 (1.02%)
$2.96
$2.98
$2.5
$3.19
  • DIVIDEND YIELD

    9.06%
  • ANNUAL DIVIDEND

    $0.09
  • DIVIDEND PAYOUT RATIO

    13.37%
  • RECENT DIVIDEND PAYMENT

    Jun. 25

CIK Dividend History by Quarter


Announced Amount Yield Ex-Dividend Date Record Date Payable Date
01/19/2024 $0.02 3.02% 06/18/2024 06/18/2024 06/25/2024
01/19/2024 $0.02 3.02% 05/15/2024 05/16/2024 05/22/2024
01/19/2024 $0.02 3.02% 04/15/2024 04/16/2024 04/22/2024
01/19/2024 $0.02 3.02% 03/15/2024 03/18/2024 03/22/2024
01/19/2024 $0.02 3.02% 02/15/2024 02/16/2024 02/23/2024
01/02/2024 $0.02 3.02% 01/17/2024 01/18/2024 01/24/2024
03/08/2023 $0.02 3.02% 12/15/2023 12/18/2023 12/22/2023
03/08/2023 $0.02 3.02% 10/17/2023 10/18/2023 10/24/2023
03/08/2023 $0.02 3.02% 09/18/2023 09/19/2023 09/25/2023
03/08/2023 $0.02 3.02% 08/15/2023 08/16/2023 08/22/2023
03/08/2023 $0.02 3.02% 07/18/2023 07/19/2023 07/25/2023
03/08/2023 $0.02 3.02% 06/15/2023 06/16/2023 06/23/2023
03/08/2023 $0.02 3.02% 05/15/2023 05/16/2023 05/22/2023
03/08/2023 $0.02 3.02% 04/18/2023 04/19/2023 04/25/2023
03/01/2023 $0.02 3.02% 03/15/2023 03/16/2023 03/22/2023
02/01/2023 $0.02 3.02% 02/15/2023 02/16/2023 02/23/2023
01/03/2023 $0.02 3.09% 01/18/2023 01/19/2023 01/25/2023
12/01/2022 $0.02 3.09% 12/15/2022 12/16/2022 12/22/2022
11/01/2022 $0.02 3.09% 11/16/2022 11/17/2022 11/23/2022
10/03/2022 $0.02 3.09% 10/18/2022 10/19/2022 10/25/2022
09/01/2022 $0.02 3.09% 09/16/2022 09/19/2022 09/23/2022
08/01/2022 $0.02 3.09% 08/15/2022 08/16/2022 08/22/2022
07/01/2022 $0.02 3.09% 07/18/2022 07/19/2022 07/25/2022
06/01/2022 $0.02 3.09% 06/15/2022 06/16/2022 06/23/2022
05/02/2022 $0.02 3.09% 05/16/2022 05/17/2022 05/23/2022
04/01/2022 $0.02 3.09% 04/18/2022 04/19/2022 04/25/2022
03/01/2022 $0.02 3.02% 03/15/2022 03/16/2022 03/22/2022
02/01/2022 $0.02 3.09% 02/15/2022 02/16/2022 02/23/2022
12/01/2021 $0.02 3.09% 12/15/2021 12/16/2021 12/22/2021
11/01/2021 $0.02 3.09% 11/15/2021 11/16/2021 11/22/2021
10/01/2021 $0.02 3.09% 10/18/2021 10/19/2021 10/25/2021
09/01/2021 $0.02 3.02% 09/16/2021 09/17/2021 09/23/2021
08/02/2021 $0.02 3.09% 08/16/2021 08/17/2021 08/23/2021
07/01/2021 $0.02 3.02% 07/16/2021 07/19/2021 07/23/2021
06/01/2021 $0.02 3.02% 06/15/2021 06/16/2021 06/22/2021
05/03/2021 $0.02 3.02% 05/17/2021 05/18/2021 05/24/2021
04/01/2021 $0.02 3.02% 04/16/2021 04/19/2021 04/23/2021
03/01/2021 $0.02 3.02% 03/15/2021 03/16/2021 03/22/2021
02/01/2021 $0.02 3.09% 02/16/2021 02/17/2021 02/23/2021
01/04/2021 $0.02 3.09% 01/19/2021 01/20/2021 01/26/2021
12/01/2020 $0.02 3.09% 12/15/2020 12/16/2020 12/22/2020
11/02/2020 $0.02 3.09% 11/16/2020 11/17/2020 11/24/2020
10/01/2020 $0.02 3.09% 10/16/2020 10/19/2020 10/23/2020
09/01/2020 $0.02 3.09% 09/16/2020 09/17/2020 09/23/2020
01/31/2020 $0.02 3.02% 08/17/2020 08/18/2020 08/24/2020
01/31/2020 $0.02 3.02% 07/16/2020 07/17/2020 07/23/2020
01/31/2020 $0.02 3.02% 06/15/2020 06/16/2020 06/22/2020
01/31/2020 $0.02 3.02% 05/15/2020 05/18/2020 05/22/2020
01/31/2020 $0.02 3.02% 04/16/2020 04/17/2020 04/23/2020
03/02/2020 $0.02 3.02% 03/16/2020 03/17/2020 03/23/2020
01/31/2020 $0.02 3.02% 02/18/2020 02/19/2020 02/25/2020
12/02/2019 $0.02 3.02% 12/16/2019 12/17/2019 12/23/2019
11/01/2019 $0.02 3.02% 11/18/2019 11/19/2019 11/25/2019
10/02/2019 $0.02 3.02% 10/16/2019 10/17/2019 10/23/2019
09/04/2019 $0.02 3.02% 09/17/2019 09/18/2019 09/24/2019
08/02/2019 $0.02 3.02% 08/15/2019 08/16/2019 08/22/2019
07/03/2019 $0.02 3.02% 07/16/2019 07/17/2019 07/23/2019
06/05/2019 $0.02 3.02% 06/17/2019 06/18/2019 06/24/2019
05/02/2019 $0.02 3.02% 05/15/2019 05/16/2019 05/22/2019
04/02/2019 $0.02 3.02% 04/15/2019 04/16/2019 04/23/2019
03/04/2019 $0.02 3.02% 03/15/2019 03/18/2019 03/22/2019
02/04/2019 $0.02 3.02% 02/15/2019 02/19/2019 02/25/2019
01/07/2019 $0.02 3.02% 01/16/2019 01/17/2019 01/24/2019
11/27/2018 $0.02 3.02% 12/10/2018 12/11/2018 12/17/2018
10/25/2018 $0.02 3.02% 11/08/2018 11/09/2018 11/15/2018
09/26/2018 $0.02 3.02% 10/09/2018 10/10/2018 10/16/2018
08/23/2018 $0.02 3.02% 09/11/2018 09/12/2018 09/18/2018
07/25/2018 $0.02 3.02% 08/08/2018 08/09/2018 08/15/2018
06/13/2018 $0.02 3.02% 07/10/2018 07/11/2018 07/17/2018
05/24/2018 $0.02 2.95% 06/08/2018 06/11/2018 06/15/2018
04/27/2018 $0.02 2.95% 05/08/2018 05/09/2018 05/15/2018
03/24/2018 $0.02 2.95% 04/09/2018 04/10/2018 04/16/2018
02/27/2018 $0.02 2.95% 03/08/2018 03/09/2018 03/15/2018
01/25/2018 $0.02 2.95% 02/08/2018 02/09/2018 02/15/2018
12/28/2017 $0.02 2.95% 01/09/2018 01/10/2018 01/17/2018
11/29/2017 $0.02 2.95% 12/08/2017 12/11/2017 12/15/2017
10/26/2017 $0.02 2.95% 11/08/2017 11/09/2017 11/16/2017
09/27/2017 $0.02 2.95% 10/10/2017 10/11/2017 10/17/2017
07/28/2017 $0.02 2.95% 08/07/2017 08/09/2017 08/15/2017
06/23/2017 $0.02 2.95% 07/10/2017 07/12/2017 07/18/2017
05/23/2017 $0.02 2.95% 06/07/2017 06/09/2017 06/15/2017
04/26/2017 $0.02 2.95% 05/05/2017 05/09/2017 05/15/2017
03/23/2017 $0.02 2.95% 04/07/2017 04/11/2017 04/18/2017
02/27/2017 $0.02 2.95% 03/07/2017 03/09/2017 03/15/2017
01/27/2017 $0.02 2.95% 02/07/2017 02/09/2017 02/15/2017
12/23/2016 $0.02 2.95% 01/09/2017 01/11/2017 01/20/2017
12/06/2016 $0.02 2.95% 12/07/2016 12/09/2016 12/15/2016
10/27/2016 $0.02 2.95% 11/07/2016 11/09/2016 11/16/2016
09/26/2016 $0.02 2.95% 10/07/2016 10/12/2016 10/18/2016
08/23/2016 $0.02 2.95% 09/08/2016 09/12/2016 09/16/2016
07/26/2016 $0.02 2.95% 08/05/2016 08/09/2016 08/15/2016
06/23/2016 $0.02 2.95% 07/08/2016 07/12/2016 07/18/2016
05/24/2016 $0.02 2.95% 06/07/2016 06/09/2016 06/15/2016
04/25/2016 $0.02 2.95% 05/06/2016 05/10/2016 05/16/2016
03/23/2016 $0.02 2.95% 04/07/2016 04/11/2016 04/15/2016
02/24/2016 $0.02 2.95% 03/07/2016 03/09/2016 03/15/2016
01/27/2016 $0.02 2.95% 02/05/2016 02/09/2016 02/16/2016
12/23/2015 $0.02 2.95% 01/08/2016 01/12/2016 01/19/2016
11/25/2015 $0.02 2.95% 12/07/2015 12/09/2015 12/15/2015
10/26/2015 $0.02 2.95% 11/06/2015 11/10/2015 11/17/2015
09/24/2015 $0.02 2.95% 10/07/2015 10/09/2015 10/16/2015
08/25/2015 $0.02 2.95% 09/08/2015 09/10/2015 09/16/2015
07/24/2015 $0.02 2.95% 08/07/2015 08/11/2015 08/17/2015
06/23/2015 $0.02 2.95% 07/08/2015 07/10/2015 07/16/2015
05/26/2015 $0.02 2.95% 06/05/2015 06/09/2015 06/15/2015
04/24/2015 $0.02 2.95% 05/07/2015 05/11/2015 05/15/2015
03/24/2015 $0.02 2.95% 04/08/2015 04/10/2015 04/16/2015
02/25/2015 $0.02 2.95% 03/06/2015 03/10/2015 03/16/2015
01/27/2015 $0.02 2.95% 02/06/2015 02/10/2015 02/17/2015
12/23/2014 $0.02 2.95% 01/08/2015 01/12/2015 01/16/2015
11/25/2014 $0.02 2.95% 12/05/2014 12/09/2014 12/15/2014
10/23/2014 $0.02 2.95% 11/07/2014 11/12/2014 11/18/2014
09/24/2014 $0.02 2.95% 10/07/2014 10/09/2014 10/16/2014
08/25/2014 $0.02 2.95% 09/08/2014 09/10/2014 09/16/2014
07/24/2014 $0.02 3.15% 08/07/2014 08/11/2014 08/15/2014

Credit Suisse Asset Management Income Fund, Inc. Dividend - Frequently Asked Questions

  • Q. When is Credit Suisse Asset Management Income Fund, Inc.'s dividend yield?

    A. The current dividend yield for Credit Suisse Asset Management Income Fund, Inc. is 9.06%.

  • Q. How much is Credit Suisse Asset Management Income Fund, Inc.'s annual dividend?

    A. The annual dividend for Credit Suisse Asset Management Income Fund, Inc. shares is $0.09.

  • Q. How often does Credit Suisse Asset Management Income Fund, Inc. pay dividends?

    A. Credit Suisse Asset Management Income Fund, Inc. pays quarterly dividends to shareholders.

  • Q. When was Credit Suisse Asset Management Income Fund, Inc.'s most recent dividend payment?

    A. Credit Suisse Asset Management Income Fund, Inc.'s most recent quarterly dividend payment of $0.02 per share was made to shareholders on Tuesday, June 25th, 2024.

  • Q. When was Credit Suisse Asset Management Income Fund, Inc.'s most recent ex-dividend date?

    A. Credit Suisse Asset Management Income Fund, Inc.'s most recent ex-dividend date was Tuesday, June 18th, 2024.

  • Q. What is Credit Suisse Asset Management Income Fund, Inc.'s dividend payout ratio?

    A. The dividend payout ratio for Credit Suisse Asset Management Income Fund, Inc. is: 13.37%.

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