Priority Income Fund, Inc.
Symbol
PRIF-PD
Price
$24.28
Market Cap
$0
Exchange
NYSE
Sector
Financial Services
Industry
Asset Management - Income
Dividend Yield
7.32%
Ex-Dividend Date
03-24-2025
Financial Info
Dividend Details
Ex-Dividend Date | Amount | Dividend Yield | Payment Date |
---|---|---|---|
03.24.2025 | $0.4375 | 1.80% | 03.31.2025 |
12.24.2024 | $0.4375 | 1.79% | 12.31.2024 |
09.23.2024 | $0.4375 | 1.80% | 09.30.2024 |
06.21.2024 | $0.4375 | 1.87% | 06.28.2024 |
03.15.2024 | $0.4375 | 1.87% | 03.28.2024 |
12.15.2023 | $0.4375 | 1.86% | 12.29.2023 |
09.14.2023 | $0.4375 | 1.91% | 09.29.2023 |
06.15.2023 | $0.4375 | 1.88% | 06.30.2023 |
03.14.2023 | $0.4375 | 1.83% | 03.31.2023 |
12.16.2022 | $0.4375 | 1.91% | 12.30.2022 |
09.14.2022 | $0.4375 | 1.75% | 09.30.2022 |
06.14.2022 | $0.4375 | 1.74% | 06.30.2022 |
03.14.2022 | $0.4375 | 1.72% | 03.31.2022 |
12.14.2021 | $0.4375 | 1.71% | 12.31.2021 |
09.14.2021 | $0.4375 | 1.70% | 09.30.2021 |
06.14.2021 | $0.4375 | 1.80% | 06.30.2021 |
03.12.2021 | $0.4375 | 1.72% | 03.31.2021 |
12.14.2020 | $0.4375 | 1.80% | 12.31.2020 |
09.14.2020 | $0.4375 | 1.80% | 09.30.2020 |
06.12.2020 | $0.4375 | 1.75% | 06.30.2020 |
03.13.2020 | $0.4375 | 1.80% | 03.31.2020 |
12.12.2019 | $0.4375 | 1.80% | 12.31.2019 |
09.13.2019 | $0.4375 | 1.80% | 09.30.2019 |