Priority Income Fund, Inc.

Symbol

PRIF-PF

Price

$23.78

Market Cap

$0

Exchange

NYSE

Sector

Financial Services

Industry

Asset Management - Income

Dividend Yield

3.51%

Ex-Dividend Date

09-23-2024

Financial Info

Dividend Details


Ex-Dividend DateClose PriceAmountDividend YieldRecord DatePayment Date

09.23.2024

-

$0.41406

1.74%

09.23.2024

09.30.2024

06.21.2024

$23.94

$0.41406

1.73%

06.21.2024

06.28.2024

03.15.2024

$23.3

$0.41406

1.78%

-

12.15.2023

$23.08

$0.41406

1.79%

-

09.14.2023

$23.21

$0.41406

1.78%

-

06.15.2023

$23.1

$0.41406

1.79%

-

06.30.2023

03.14.2023

$22.4

$0.41406

1.85%

-

12.16.2022

$22.61

$0.41406

1.83%

-

09.14.2022

$24.88

$0.41406

1.66%

-

06.14.2022

$24.65

$0.41406

1.68%

-

03.14.2022

$25.16

$0.41406

1.65%

-

12.14.2021

$25.42

$0.41406

1.63%

-

09.14.2021

$25.6

$0.41406

1.62%

-

06.14.2021

-

$0.41406

1.74%

-

03.12.2021

$25.49

$0.41406

1.62%

-

12.14.2020

-

$0.41406

1.74%

-

09.14.2020

-

$0.41866

1.76%

-

06.12.2020

$24

$0.57049

2.38%

-