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 DateClose PriceAmountDividend YieldRecord DatePayment Date

03.24.2025

-

$0.4375

1.80%

03.24.2025

03.31.2025

12.24.2024

$24.5

$0.4375

1.79%

12.24.2024

12.31.2024

09.23.2024

$24.32

$0.4375

1.80%

09.23.2024

09.30.2024

06.21.2024

$23.44

$0.4375

1.87%

06.21.2024

06.28.2024

03.15.2024

$23.4

$0.4375

1.87%

03.18.2024

03.28.2024

12.15.2023

$23.5

$0.4375

1.86%

12.18.2023

12.29.2023

09.14.2023

$22.92

$0.4375

1.91%

09.15.2023

09.29.2023

06.15.2023

$23.27

$0.4375

1.88%

06.16.2023

06.30.2023

03.14.2023

$23.85

$0.4375

1.83%

03.15.2023

03.31.2023

12.16.2022

$22.9

$0.4375

1.91%

12.19.2022

12.30.2022

09.14.2022

$25.05

$0.4375

1.75%

09.15.2022

09.30.2022

06.14.2022

$25.17

$0.4375

1.74%

06.15.2022

06.30.2022

03.14.2022

$25.43

$0.4375

1.72%

03.15.2022

03.31.2022

12.14.2021

$25.56

$0.4375

1.71%

12.15.2021

12.31.2021

09.14.2021

$25.68

$0.4375

1.70%

09.15.2021

09.30.2021

06.14.2021

-

$0.4375

1.80%

06.15.2021

06.30.2021

03.12.2021

$25.5

$0.4375

1.72%

03.15.2021

03.31.2021

12.14.2020

-

$0.4375

1.80%

12.15.2020

12.31.2020

09.14.2020

-

$0.4375

1.80%

09.15.2020

09.30.2020

06.12.2020

$25

$0.4375

1.75%

06.15.2020

06.30.2020

03.13.2020

-

$0.4375

1.80%

03.16.2020

03.31.2020

12.12.2019

-

$0.4375

1.80%

12.15.2019

12.31.2019

09.13.2019

-

$0.4375

1.80%

09.16.2019

09.30.2019