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Pimco New York Municipal Income Fund

Pimco New York Municipal Income Fund (PNF)

7.82
0.00
(0.00%)
Closed 03 July 6:00AM
0.00
0.00
(0.00%)

Dividends

Announcement Date Type Currency Amount Ex-Dividend Date Record Date Payment
03/6/2024 Dividend income or Cash Dividend USD 0.0335 13/6/2024 13/6/2024 01/7/2024
01/5/2024 Dividend income or Cash Dividend USD 0.0335 10/5/2024 13/5/2024 03/6/2024
01/4/2024 Dividend income or Cash Dividend USD 0.0335 10/4/2024 11/4/2024 01/5/2024
01/3/2024 Dividend income or Cash Dividend USD 0.0335 08/3/2024 11/3/2024 01/4/2024
01/2/2024 Dividend income or Cash Dividend USD 0.0335 09/2/2024 12/2/2024 01/3/2024
02/1/2024 Dividend income or Cash Dividend USD 0.0335 11/1/2024 12/1/2024 01/2/2024
01/12/2023 Dividend income or Cash Dividend USD 0.0335 08/12/2023 11/12/2023 02/1/2024
01/11/2023 Dividend income or Cash Dividend USD 0.0335 10/11/2023 13/11/2023 01/12/2023
02/10/2023 Dividend income or Cash Dividend USD 0.0335 11/10/2023 12/10/2023 01/11/2023
01/9/2023 Dividend income or Cash Dividend USD 0.0335 08/9/2023 11/9/2023 02/10/2023
01/8/2023 Dividend income or Cash Dividend USD 0.0335 10/8/2023 11/8/2023 01/9/2023
03/7/2023 Dividend income or Cash Dividend USD 0.0335 12/7/2023 13/7/2023 01/8/2023
01/6/2023 Dividend income or Cash Dividend USD 0.0335 09/6/2023 12/6/2023 03/7/2023
01/5/2023 Dividend income or Cash Dividend USD 0.0335 10/5/2023 11/5/2023 01/6/2023
03/4/2023 Dividend income or Cash Dividend USD 0.0335 12/4/2023 13/4/2023 01/5/2023
01/3/2023 Dividend income or Cash Dividend USD 0.0335 10/3/2023 13/3/2023 03/4/2023
01/2/2023 Dividend income or Cash Dividend USD 0.0335 10/2/2023 13/2/2023 01/3/2023
03/1/2023 Dividend income or Cash Dividend USD 0.0335 12/1/2023 13/1/2023 01/2/2023
01/12/2022 Dividend income or Cash Dividend USD 0.042 09/12/2022 12/12/2022 03/1/2023
01/11/2022 Dividend income or Cash Dividend USD 0.042 10/11/2022 14/11/2022 01/12/2022
03/10/2022 Dividend income or Cash Dividend USD 0.042 12/10/2022 13/10/2022 01/11/2022
01/9/2022 Dividend income or Cash Dividend USD 0.042 09/9/2022 12/9/2022 03/10/2022
01/8/2022 Dividend income or Cash Dividend USD 0.042 10/8/2022 11/8/2022 01/9/2022
01/7/2022 Dividend income or Cash Dividend USD 0.042 08/7/2022 11/7/2022 01/8/2022
01/6/2022 Dividend income or Cash Dividend USD 0.042 10/6/2022 13/6/2022 01/7/2022
02/5/2022 Dividend income or Cash Dividend USD 0.042 11/5/2022 12/5/2022 01/6/2022
01/4/2022 Dividend income or Cash Dividend USD 0.042 08/4/2022 11/4/2022 02/5/2022
01/3/2022 Dividend income or Cash Dividend USD 0.042 10/3/2022 11/3/2022 01/4/2022
01/2/2022 Dividend income or Cash Dividend USD 0.042 10/2/2022 11/2/2022 01/3/2022
03/1/2022 Dividend income or Cash Dividend USD 0.042 12/1/2022 13/1/2022 01/2/2022
01/12/2021 Dividend income or Cash Dividend USD 0.042 10/12/2021 13/12/2021 03/1/2022
01/11/2021 Dividend income or Cash Dividend USD 0.042 10/11/2021 12/11/2021 01/12/2021
01/10/2021 Dividend income or Cash Dividend USD 0.042 08/10/2021 12/10/2021 01/11/2021
01/9/2021 Dividend income or Cash Dividend USD 0.042 10/9/2021 13/9/2021 01/10/2021
02/8/2021 Dividend income or Cash Dividend USD 0.042 11/8/2021 12/8/2021 01/9/2021
01/7/2021 Dividend income or Cash Dividend USD 0.042 09/7/2021 12/7/2021 02/8/2021
01/6/2021 Dividend income or Cash Dividend USD 0.042 10/6/2021 11/6/2021 01/7/2021
03/5/2021 Dividend income or Cash Dividend USD 0.042 12/5/2021 13/5/2021 01/6/2021
01/4/2021 Dividend income or Cash Dividend USD 0.042 09/4/2021 12/4/2021 03/5/2021
01/3/2021 Dividend income or Cash Dividend USD 0.042 10/3/2021 11/3/2021 01/4/2021
01/2/2021 Dividend income or Cash Dividend USD 0.042 10/2/2021 11/2/2021 01/3/2021
04/1/2021 Dividend income or Cash Dividend USD 0.042 13/1/2021 14/1/2021 01/2/2021
07/12/2020 Dividend income or Cash Dividend USD 0.013 16/12/2020 17/12/2020 21/12/2020
01/12/2020 Dividend income or Cash Dividend USD 0.042 10/12/2020 11/12/2020 04/1/2021
02/11/2020 Dividend income or Cash Dividend USD 0.042 10/11/2020 12/11/2020 01/12/2020
01/10/2020 Dividend income or Cash Dividend USD 0.042 09/10/2020 13/10/2020 02/11/2020
01/9/2020 Dividend income or Cash Dividend USD 0.042 10/9/2020 11/9/2020 01/10/2020
03/8/2020 Dividend income or Cash Dividend USD 0.042 12/8/2020 13/8/2020 01/9/2020
01/7/2020 Dividend income or Cash Dividend USD 0.042 10/7/2020 13/7/2020 03/8/2020
01/6/2020 Dividend income or Cash Dividend USD 0.042 10/6/2020 11/6/2020 01/7/2020
01/5/2020 Dividend income or Cash Dividend USD 0.042 08/5/2020 11/5/2020 01/6/2020
01/4/2020 Dividend income or Cash Dividend USD 0.042 09/4/2020 13/4/2020 01/5/2020
02/3/2020 Dividend income or Cash Dividend USD 0.042 11/3/2020 12/3/2020 01/4/2020
03/2/2020 Dividend income or Cash Dividend USD 0.042 12/2/2020 13/2/2020 02/3/2020
02/1/2020 Dividend income or Cash Dividend USD 0.042 10/1/2020 13/1/2020 03/2/2020
03/12/2019 Dividend income or Cash Dividend USD 0.05301 11/12/2019 12/12/2019 02/1/2020
02/11/2019 Dividend income or Cash Dividend USD 0.05301 08/11/2019 12/11/2019 02/12/2019
02/10/2019 Dividend income or Cash Dividend USD 0.05301 10/10/2019 11/10/2019 01/11/2019
04/9/2019 Dividend income or Cash Dividend USD 0.05301 12/9/2019 13/9/2019 01/10/2019
02/8/2019 Dividend income or Cash Dividend USD 0.05301 09/8/2019 12/8/2019 03/9/2019
02/7/2019 Dividend income or Cash Dividend USD 0.05301 11/7/2019 12/7/2019 01/8/2019
Dividends data is taken only from official company reports.

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