Credit Suisse Asset Management Income Fund (CIK) Dividend Yield, Date & History

$2.91
0.00 (0.00%)
(As of 05/3/2024 ET)

Dividend Summary

Dividend Yield
9.28%
Annual Dividend
$0.27
Dividend Increase
Track Record
1 Year
Next
Dividend Payment
May. 22
Skip Charts & View Dividend History

Credit Suisse Asset Management Income Fund vs. The Competition

TypeCredit Suisse Asset Management Income FundFinance CompaniesNYSEAMERICAN Companies
Annual Dividend$0.27$1.67$0.96
Dividend Yield9.28%596.89%329.84%
Annualized 3-Year Dividend Growth0.00%1,359.93%533.95%

Credit Suisse Asset Management Income Fund Dividend History by Quarter

AnnouncedPeriodAmountYieldEx-Dividend DateRecord DatePayable Date
5/2/2024monthly$0.02259.3%5/15/20245/16/20245/22/2024
1/19/2024monthly$0.02259%4/15/20244/16/20244/22/2024
1/19/2024monthly$0.02259%3/15/20243/18/20243/22/2024
1/19/2024monthly$0.02258.9%2/15/20242/16/20242/23/2024
1/2/2024monthly$0.02259%1/17/20241/18/20241/24/2024
1/2/2024$0.02251/17/20241/18/20241/24/2024
3/8/2023monthly$0.02259.5%12/15/202312/18/202312/22/2023
11/3/2023monthly$0.022510.2%11/16/202311/17/202311/24/2023
10/3/2023monthly$0.022510.4%10/17/202310/18/202310/24/2023
9/5/2023monthly$0.02259.8%9/18/20239/19/20239/25/2023
3/8/2023monthly$0.02259.1%8/15/20238/16/20238/22/2023
6/2/2023monthly$0.02259.7%6/15/20236/16/20236/23/2023
5/2/2023monthly$0.022510.2%5/15/20235/16/20235/22/2023
4/4/2023monthly$0.022510.5%4/18/20234/19/20234/25/2023
3/3/2023monthly$0.02259.7%3/15/20233/16/20233/22/2023
2/2/2023monthly$0.02259.7%2/15/20232/16/20232/23/2023
1/4/2023monthly$0.022510.5%1/18/20231/19/20231/25/2023
12/2/2022monthly$0.02259.7%12/15/202212/16/202212/22/2022
11/2/2022monthly$0.022510.5%11/16/202211/17/202211/23/2022
10/5/2022monthly$0.022510.2%10/18/202210/19/202210/25/2022
9/2/2022monthly$0.02259.3%9/16/20229/19/20229/23/2022
8/2/2022monthly$0.02259.5%8/15/20228/16/20228/22/2022
7/5/2022monthly$0.022510%7/18/20227/19/20227/25/2022
6/2/2022monthly$0.02259.4%6/15/20226/16/20226/23/2022
5/3/2022monthly$0.02259.3%5/16/20225/17/20225/23/2022
4/4/2022monthly$0.02258.8%4/18/20224/19/20224/25/2022
3/2/2022monthly$0.02258.7%3/15/20223/16/20223/22/2022
2/2/2022monthly$0.02258.2%2/15/20222/16/20222/23/2022
1/4/2022monthly$0.02257.8%1/18/20221/19/20221/25/2022
12/2/2021monthly$0.02257.9%12/15/202112/16/202112/22/2021
11/2/2021monthly$0.02257.8%11/15/202111/16/202111/22/2021
10/4/2021monthly$0.02257.8%10/18/202110/19/202110/25/2021
9/2/2021monthly$0.02257.6%9/16/20219/17/20219/23/2021
8/3/2021monthly$0.02257.8%8/16/20218/17/20218/23/2021
7/6/2021monthly$0.02257.8%7/16/20217/19/20217/23/2021
6/2/2021monthly$0.02257.6%6/15/20216/16/20216/22/2021
5/4/2021monthly$0.02257.7%5/17/20215/18/20215/24/2021
4/6/2021monthly$0.02258.1%4/16/20214/19/20214/23/2021
3/2/2021monthly$0.02257.9%3/15/20213/16/20213/22/2021
2/2/2021monthly$0.02258.4%2/16/20212/17/20212/23/2021
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1/4/2021Monthly$0.02308.79%1/19/20211/20/20211/26/2021
1/6/2021monthly$0.02258.6%1/19/20211/20/20211/26/2021
12/1/2020Monthly$0.02308.71%12/15/202012/16/202012/22/2020
12/2/2020monthly$0.02258.5%12/15/202012/16/202012/22/2020
11/2/2020Monthly$0.02309.14%11/16/202011/17/202011/24/2020
11/3/2020monthly$0.02258.9%11/16/202011/17/202011/24/2020
10/1/2020Monthly$0.02309.48%10/16/202010/19/202010/23/2020
10/2/2020monthly$0.02259.3%10/16/202010/19/202010/23/2020
9/2/2020monthly$0.02259.4%9/16/20209/17/20209/23/2020
8/4/2020monthly$0.02259.5%8/17/20208/18/20208/24/2020
7/6/2020monthly$0.02259.9%7/16/20207/17/20207/23/2020
6/2/2020monthly$0.02259.8%6/15/20206/16/20206/22/2020
5/4/2020monthly$0.022510.8%5/15/20205/18/20205/22/2020
4/2/2020monthly$0.022511.6%4/16/20204/17/20204/23/2020
3/3/2020monthly$0.02258.7%3/16/20203/17/20203/23/2020
2/4/2020monthly$0.02258.1%2/18/20202/19/20202/25/2020
1/3/2020monthly$0.02258.4%1/16/20201/17/20201/24/2020
12/4/2019monthly$0.02258.4%12/16/201912/17/201912/23/2019
9/5/2019--$0.02258.6%9/17/20199/18/20199/24/2019
6/5/2019monthly$0.02258.85%6/17/20196/18/20196/24/2019
5/3/2019monthly$0.02258.52%5/15/20195/16/20195/22/2019
4/3/2019monthly$0.02258.67%4/15/20194/16/20194/23/2019
3/5/2019monthly$0.02258.77%3/15/20193/18/20193/22/2019
2/5/2019monthly$0.02258.94%2/15/20192/19/20192/25/2019
1/8/2019monthly$0.02259.2%1/16/20191/17/20191/24/2019
11/28/2018monthly$0.02259.39%12/10/201812/11/201812/17/2018
10/26/2018monthly$0.02259%11/8/201811/9/201811/15/2018
8/27/2018monthly$0.02258.49%9/11/20189/12/20189/18/2018
6/27/2018monthly$0.02258.57%7/10/20187/11/20187/17/2018
5/25/2018monthly$0.02208.38%6/8/20186/11/20186/15/2018
4/27/2018monthly$0.02208.22%5/8/20185/9/20185/15/2018
3/26/2018monthly$0.02208.25%4/9/20184/10/20184/16/2018
2/28/2018monthly$0.02208.2%3/8/20183/9/20183/15/2018
1/26/2018monthly$0.02207.98%2/8/20182/9/20182/15/2018
12/29/2017monthly$0.02207.98%1/9/20181/10/20181/17/2018
11/30/2017monthly$0.02208%12/8/201712/11/201712/15/2017
10/27/2017monthly$0.02207.9%11/8/201711/9/201711/16/2017
9/28/2017monthly$0.02207.81%10/10/201710/11/201710/17/2017
8/24/2017monthly$0.02207.93%9/11/20179/12/20179/18/2017
7/31/2017monthly$0.02207.76%8/7/20178/9/20178/15/2017
6/26/2017monthly$0.02207.9%7/10/20177/12/20177/18/2017
5/24/2017monthly$0.02207.93%6/7/20176/9/20176/15/2017
4/27/2017monthly$0.02207.88%5/5/20175/9/20175/15/2017
3/24/2017monthly$0.02208.07%4/7/20174/11/20174/18/2017
2/28/2017monthly$0.02207.83%3/7/20173/9/20173/15/2017
1/30/2017monthly$0.02208.05%2/7/20172/9/20172/15/2017
12/27/2016monthly$0.02208.38%1/9/20171/11/20171/20/2017
6/24/2015monthly$0.02208.35%7/8/20157/10/20157/16/2015
5/27/2015monthly$0.02208.15%6/5/20156/9/20156/15/2015
4/27/2015monthly$0.02208.1%5/7/20155/11/20155/15/2015
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3/25/2015monthly$0.02208.2%4/8/20154/10/20154/16/2015
2/27/2015monthly$0.02208%3/6/20153/10/20153/16/2015
1/29/2015monthly$0.02208.2%2/6/20152/10/20152/17/2015
12/24/2014monthly$0.02228.2%1/8/20151/12/20151/16/2015
11/26/2014monthly$0.02207.81%12/5/201412/9/201412/15/2014
10/27/2014monthly$0.02207.7%11/7/201411/12/201411/18/2014
9/25/2014monthly$0.02207.74%10/7/201410/9/201410/16/2014
8/26/2014monthly$0.02207.39%9/8/20149/10/20149/16/2014
7/25/2014monthly$0.02357.79%8/7/20148/11/20148/15/2014
6/25/2014monthly$0.02357.79%7/8/20147/10/20147/16/2014
5/27/2014monthly$0.02357.81%6/6/20146/10/20146/16/2014
4/28/2014monthly$0.02357.7%5/7/20145/9/20145/15/2014
3/27/2014monthly$0.02357.88%4/7/20144/9/20144/15/2014
2/28/2014monthly$0.02357.7%3/7/20143/11/20143/17/2014
1/29/2014monthly$0.02357.9%2/7/20142/11/20142/18/2014
12/27/2013monthly$0.02357.81%1/8/20141/10/20141/16/2014
11/26/2013monthly$0.02357.88%12/6/201312/10/201312/16/2013
10/24/2013monthly$0.02357.77%11/6/201311/8/201311/15/2013
9/27/2013monthly$0.02357.75%10/7/201310/9/201310/15/2013
8/26/2013monthly$0.02357.99%9/9/20139/11/20139/17/2013
(Data available from 1/1/2013 forward)

Credit Suisse Asset Management Income Fund Dividend - Frequently Asked Questions

What is Credit Suisse Asset Management Income Fund's dividend yield?

The current dividend yield for Credit Suisse Asset Management Income Fund is 9.28%. Learn more on CIK's dividend yield history.

How much is Credit Suisse Asset Management Income Fund's annual dividend?

The annual dividend for CIK shares is $0.27. Learn more on CIK's annual dividend history.

How often does Credit Suisse Asset Management Income Fund pay dividends?

Credit Suisse Asset Management Income Fund pays monthly dividends to shareholders.

When is Credit Suisse Asset Management Income Fund's next dividend payment?

Credit Suisse Asset Management Income Fund's next monthly dividend payment of $0.0225 per share will be made to shareholders on Wednesday, May 22, 2024.

When was Credit Suisse Asset Management Income Fund's most recent dividend payment?

Credit Suisse Asset Management Income Fund's most recent monthly dividend payment of $0.0225 per share was made to shareholders on Monday, April 22, 2024.

When is Credit Suisse Asset Management Income Fund's ex-dividend date?

Credit Suisse Asset Management Income Fund's next ex-dividend date is Wednesday, May 15, 2024.

When was Credit Suisse Asset Management Income Fund's most recent ex-dividend date?

Credit Suisse Asset Management Income Fund's most recent ex-dividend date was Monday, April 15, 2024.

When did Credit Suisse Asset Management Income Fund last increase or decrease its dividend?

The most recent change in the company's dividend was a decrease of $0.0005 on Tuesday, February 2, 2021.

This page (NYSEAMERICAN:CIK) was last updated on 5/4/2024 by MarketBeat.com Staff

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