The India Fund, Inc.
Symbol
IFN
Price
$13.61
Market Cap
$587,984,320
Exchange
NYSE
Sector
Financial Services
Industry
Asset Management
Dividend Yield
13.71%
Ex-Dividend Date
02-21-2025
Dividend Details
| Ex-Dividend Date | Amount | Dividend Yield | Payment Date |
|---|---|---|---|
02.21.2025 | $0.46 | 3.38% | 03.31.2025 |
11.21.2024 | $0.5 | 2.82% | 01.10.2025 |
08.23.2024 | $0.49 | 2.59% | 09.30.2024 |
05.30.2024 | $0.45 | 2.52% | 07.05.2024 |
02.21.2024 | $0.42615 | 2.07% | 03.28.2024 |
11.21.2023 | $0.40633 | 2.31% | 01.10.2024 |
08.23.2023 | $0.40633 | 2.41% | 09.29.2023 |
05.18.2023 | $0.3865 | 2.44% | 06.30.2023 |
02.17.2023 | $0.43 | 2.64% | 03.31.2023 |
11.21.2022 | $1.61 | 9.11% | 01.11.2023 |
08.23.2022 | $0.46 | 2.56% | 09.30.2022 |
05.19.2022 | $0.53 | 3.02% | 06.30.2022 |
03.23.2022 | $0.58 | 2.89% | 03.31.2022 |
12.29.2021 | $0.64 | 2.96% | 01.11.2022 |
12.17.2021 | $0.79283 | 3.61% | 01.31.2022 |
09.17.2021 | $0.61 | 2.57% | 09.30.2021 |
06.22.2021 | $0.58 | 2.58% | 06.30.2021 |
03.23.2021 | $0.58 | 2.62% | 03.31.2021 |
12.18.2020 | $0.5 | 2.46% | 12.30.2020 |
09.18.2020 | $0.46 | 2.69% | 09.30.2020 |
06.18.2020 | $0.42 | 2.74% | 06.30.2020 |
03.19.2020 | $0.57 | 4.31% | 03.31.2020 |
12.30.2019 | $0.57 | 4.19% | 01.10.2020 |
09.20.2019 | $0.58 | 4.26% | 09.30.2019 |
06.20.2019 | $0.59 | 4.34% | 06.28.2019 |
03.20.2019 | $0.59 | 4.34% | 03.29.2019 |
12.28.2018 | $2.323 | 17.07% | 01.10.2019 |
09.21.2018 | $0.71 | 5.22% | 10.02.2018 |
06.20.2018 | $0.71 | 5.22% | 06.29.2018 |
04.19.2018 | $0.76 | 5.58% | 04.27.2018 |
12.28.2017 | $2.83398 | 20.82% | 01.08.2018 |
09.21.2017 | $0.32928 | 2.42% | 09.29.2017 |
12.28.2016 | $1.49 | 10.95% | 01.11.2017 |
09.19.2016 | $0.216 | 1.59% | 09.28.2016 |
12.29.2015 | $1.429 | 10.50% | 01.12.2016 |
09.17.2015 | $0.395 | 2.90% | 09.28.2015 |