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Templeton Global Income Fund (GIM) Dividend Yield, Date & History

Notice: This company has been marked as potentially delisted and may not be actively trading.

Dividend Summary

Dividend Yield
9.58%
Annual Dividend
$0.36
Recent
Dividend Payment
Jan. 31
Skip Charts & View Dividend History

Templeton Global Income Fund vs. The Competition

TypeTempleton Global Income FundFinancial CompaniesNYSE Companies
Annual Dividend$0.36$16.65$1.53
Dividend Yield9.58%457.42%354.82%
Annualized 3-Year Dividend Growth0.00%1,296.13%1,579.08%

Templeton Global Income Fund Dividend History by Quarter

AnnouncedPeriodAmountYieldEx-Dividend DateRecord DatePayable Date
1/6/2024$0.02909.02%1/9/20241/10/20241/31/2024
12/7/2023Monthly$0.099030.23%12/15/202312/18/202312/29/2023
11/7/2023monthly$0.02809%11/16/202311/17/202311/30/2023
10/6/2023monthly$0.02919.4%10/13/202310/16/202310/31/2023
9/8/2023monthly$0.02989.2%9/15/20239/18/20239/29/2023
8/7/2023monthly$0.03108.8%8/16/20238/17/20238/31/2023
7/10/2023Monthly$0.03068.7%7/19/20237/20/20237/31/2023
6/7/2023monthly$0.03058.9%6/16/20236/20/20236/30/2023
5/5/2023monthly$0.03108.7%5/12/20235/15/20235/31/2023
4/10/2023monthly$0.03049%4/19/20234/20/20234/28/2023
3/7/2023Monthly$0.03108.74%3/16/20233/17/20233/31/2023
2/7/2023monthly$0.03208.8%2/16/20232/17/20232/28/2023
1/9/2023monthly$0.03089%1/18/20231/19/20231/31/2023
12/7/2022Monthly$0.038.53%12/16/202212/19/202212/30/2022
11/7/2022monthly$0.02889.6%11/16/202211/17/202211/30/2022
10/7/2022Monthly$0.038.49%10/14/202210/17/202210/31/2022
9/8/2022monthly$0.03189%9/16/20229/19/20229/30/2022
8/8/2022monthly$0.03118.9%8/12/20228/15/20228/31/2022
7/11/2022monthly$0.03279.8%7/15/20227/18/20227/29/2022
6/7/2022Monthly$0.03508.96%6/16/20226/17/20226/30/2022
5/6/2022Monthly$0.03509.23%5/13/20225/16/20225/31/2022
4/7/2022Monthly$0.03608.69%4/14/20224/18/20224/29/2022
3/8/2022monthly$0.03628.9%3/16/20223/17/20223/31/2022
2/8/2022monthly$0.03428%2/16/20222/17/20222/28/2022
1/10/2022monthly$0.03457.5%1/14/20221/18/20221/31/2022
12/1/2021Monthly$0.03507.85%12/14/202112/15/202112/31/2021
11/2/2021monthly$0.03556.5%11/12/202111/15/202111/30/2021
11/2/2021monthly$0.03556.5%11/12/202111/15/202111/30/2021
10/1/2021Monthly$0.03608.04%10/14/202110/15/202110/29/2021
9/2/2021monthly$0.03605.8%9/14/20219/15/20219/30/2021
8/2/2021Monthly$0.03707.96%8/13/20218/16/20218/31/2021
7/2/2021monthly$0.03704.8%7/14/20217/15/20217/30/2021
6/1/2021Monthly$0.03707.9%6/14/20216/15/20216/30/2021
5/3/2021Monthly$0.03708.15%5/14/20215/17/20215/28/2021
4/2/2021monthly$0.01693.82%4/14/20214/15/20214/30/2021
3/2/2021monthly$0.01603.5%3/12/20213/15/20213/31/2021
2/2/2021monthly$0.01413.7%2/12/20212/16/20212/26/2021
1/5/2021monthly$0.01613.7%1/14/20211/15/20211/29/2021
12/1/2020Monthly$0.01703.76%12/14/202012/15/202012/31/2020
11/3/2020monthly$0.01474.9%11/13/202011/16/202011/30/2020
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10/1/2020Monthly$0.01603.6%10/14/202010/15/202010/30/2020
9/2/2020monthly$0.01454.9%9/14/20209/15/20209/30/2020
8/3/2020Monthly$0.01503.27%8/14/20208/17/20208/31/2020
7/2/2020monthly$0.01555.4%7/14/20207/15/20207/31/2020
6/2/2020monthly$0.01336.2%6/12/20206/15/20206/30/2020
5/1/2020Monthly$0.01302.87%5/14/20205/15/20205/29/2020
4/2/2020monthly$0.01527.1%4/14/20204/15/20204/30/2020
3/3/2020monthly$0.02776.6%3/13/20203/16/20203/31/2020
2/4/2020monthly$0.02946.6%2/14/20202/18/20202/28/2020
1/3/2020monthly$0.02886.7%1/14/20201/15/20201/31/2020
12/4/2019monthly$0.04146.9%12/13/201912/16/201912/31/2019
11/1/2019Monthly$0.02404.74%11/14/201911/15/201911/29/2019
10/1/2019Monthly$0.02204.31%10/11/201910/15/201910/31/2019
9/3/2019Monthly$0.02806.9%9/13/20199/16/20199/30/2019
8/1/2019Monthly$0.03208/14/20198/15/20198/30/2019
7/1/2019Monthly$0.03607/12/20197/15/20197/31/2019
6/3/2019Monthly$0.03506.74%6/13/20196/14/20196/28/2019
5/1/2019Monthly$0.03506.66%5/14/20195/15/20195/31/2019
4/1/2019monthly$0.03406.36%4/12/20194/15/20194/30/2019
3/1/2019Monthly$0.04107.62%3/14/20193/15/20193/29/2019
2/1/2019Monthly$0.047.61%2/14/20192/15/20192/28/2019
1/2/2019monthly$0.03717.33%1/14/20191/15/20191/31/2019
12/4/2018monthly$0.03787.35%12/14/201812/17/201812/31/2018
11/1/2018Monthly$0.03105.97%11/14/201811/15/201811/30/2018
10/1/2018Monthly$0.029010/12/201810/15/201810/31/2018
9/4/2018Monthly$0.03607.09%9/13/20189/14/20189/28/2018
8/1/2018Monthly$0.03208/14/20188/15/20188/31/2018
7/2/2018monthly$0.03106.04%7/12/20187/13/20187/31/2018
6/1/2018Monthly$0.03406.56%6/14/20186/15/20186/29/2018
5/1/2018Monthly$0.03306.14%5/14/20185/15/20185/31/2018
4/3/2018monthly$0.03366.22%4/12/20184/13/20184/30/2018
3/1/2018Monthly$0.01703/14/20183/15/20183/29/2018
2/1/2018Monthly$0.01803.38%2/14/20182/15/20182/28/2018
1/2/2018Monthly$0.01803.32%1/11/20181/12/20181/31/2018
12/1/2017monthly$0.076013.93%12/14/201712/15/201712/29/2017
11/1/2017Monthly$0.01302.4%11/14/201711/15/201711/30/2017
10/2/2017Monthly$0.01402.56%10/16/201710/17/201710/31/2017
9/1/2017monthly$0.01422.54%9/14/20179/15/20179/29/2017
8/1/2017Monthly$0.02103.75%8/11/20178/15/20178/31/2017
7/3/2017monthly$0.02203.97%7/12/20177/14/20177/31/2017
6/1/2017monthly$0.02053.74%6/13/20176/15/20176/30/2017
5/1/2017may 17$0.02173.87%5/11/20175/15/20175/31/2017
4/3/2017monthly$0.01703.04%4/11/20174/13/20174/28/2017
3/1/2017monthly$0.01803.2%3/13/20173/15/20173/31/2017
2/1/2017monthly$0.01703.02%2/9/20172/13/20172/28/2017
1/4/2017monthly$0.03235.94%1/11/20171/13/20171/31/2017
12/2/2016$0.025012/13/201612/15/201612/30/2016
(Data available from 1/1/2013 forward)

Templeton Global Income Fund Dividend - Frequently Asked Questions

What is Templeton Global Income Fund's dividend yield?

The current dividend yield for Templeton Global Income Fund is 9.58%. Learn more on GIM's dividend yield history.

How much is Templeton Global Income Fund's annual dividend?

The annual dividend for GIM shares is $0.36. Learn more on GIM's annual dividend history.

How often does Templeton Global Income Fund pay dividends?

Templeton Global Income Fund pays n/a dividends to shareholders.

When was Templeton Global Income Fund's most recent dividend payment?

Templeton Global Income Fund's most recent n/a dividend payment of $0.0290 per share was made to shareholders on Wednesday, January 31, 2024.

When was Templeton Global Income Fund's most recent ex-dividend date?

Templeton Global Income Fund's most recent ex-dividend date was Tuesday, January 9, 2024.

When did Templeton Global Income Fund last increase or decrease its dividend?

The most recent change in the company's dividend was a decrease of $0.07 on Saturday, January 6, 2024.

This page (NYSE:GIM) was last updated on 6/1/2024 by MarketBeat.com Staff

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