已收盤 02-06 16:00:00 美东时间
+0.110
+1.26%
There are a number of economic indicators that create concerns that the economy...
2019-09-20 21:03
The intensifying trade war between China and the United States has been draggin...
2019-05-30 05:12
This article looks at the pros and cons of closed end funds and identifies lowe...
2019-05-20 17:28
公司名稱
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伊万风险管理多元股票收益基金
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行業分類
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業務描述
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Eaton Vance Risk Managed Diversified Equity Income Fund operates as a closed-end investment fund. Its investment objective is to seek a high level of current income, with a secondary objective of capital appreciation. The company was founded on July 31, 2007 and is headquartered in Boston, Massachusetts.
|
There are a number of economic indicators that create concerns that the economy...
2019-09-20 21:03
The intensifying trade war between China and the United States has been draggin...
2019-05-30 05:12
This article looks at the pros and cons of closed end funds and identifies lowe...
2019-05-20 17:28
年度
|
派息內容
| 派息日期 |
0.07
|
2026-02-27
| |
0.07
|
2026-01-30
| |
0.07
|
2025-12-31
| |
0.07
|
2025-11-28
| |
0.07
|
2025-10-31
| |
0.07
|
2025-09-30
| |
0.07
|
2025-08-29
| |
0.07
|
2025-07-31
| |
0.07
|
2025-06-30
| |
0.07
|
2025-05-30
| |
0.07
|
2025-04-30
| |
0.07
|
2025-03-31
| |
0.07
|
2025-02-28
| |
0.07
|
2025-01-31
| |
0.07
|
2024-12-31
| |
0.07
|
2024-11-29
| |
0.07
|
2024-10-31
| |
0.07
|
2024-09-30
| |
0.07
|
2024-08-30
| |
0.07
|
2024-07-31
| |
0.07
|
2024-06-28
| |
0.07
|
2024-05-31
| |
0.07
|
2024-04-30
| |
0.06
|
2024-03-28
| |
0.06
|
2024-02-29
| |
0.06
|
2024-01-31
| |
0.06
|
2023-12-29
| |
0.06
|
2023-11-30
| |
0.06
|
2023-10-31
| |
0.06
|
2023-09-29
| |
0.06
|
2023-08-31
| |
0.06
|
2023-07-31
| |
0.06
|
2023-06-30
| |
0.06
|
2023-05-31
| |
0.06
|
2023-04-28
| |
0.06
|
2023-03-31
| |
0.06
|
2023-02-28
| |
0.06
|
2023-01-31
| |
0.06
|
2022-12-30
| |
0.06
|
2022-11-30
| |
0.08
|
2022-10-31
| |
0.08
|
2022-09-30
| |
0.08
|
2022-08-31
| |
0.08
|
2022-07-29
| |
0.08
|
2022-06-30
| |
0.08
|
2022-05-31
| |
0.08
|
2022-04-29
| |
0.08
|
2022-03-31
| |
0.08
|
2022-02-28
| |
0.08
|
2022-01-31
| |
0.08
|
2021-12-31
| |
0.08
|
2021-11-30
| |
0.08
|
2021-10-29
| |
0.08
|
2021-09-30
| |
0.08
|
2021-08-31
| |
0.08
|
2021-07-30
| |
0.08
|
2021-06-30
| |
0.08
|
2021-05-28
| |
0.08
|
2021-04-30
| |
0.08
|
2021-03-31
| |
0.08
|
2021-02-26
| |
0.08
|
2021-01-29
| |
0.08
|
2020-12-31
| |
0.08
|
2020-11-30
| |
0.08
|
2020-10-30
| |
0.08
|
2020-09-30
| |
0.15
|
2020-08-31
| |
0.08
|
2020-07-31
| |
0.08
|
2020-06-30
| |
0.08
|
2020-05-29
| |
0.08
|
2020-04-30
| |
0.08
|
2020-03-31
| |
0.08
|
2020-02-28
| |
0.08
|
2020-01-31
| |
0.08
|
2019-12-31
| |
0.08
|
2019-11-29
| |
0.08
|
2019-10-31
| |
0.08
|
2019-09-30
| |
0.08
|
2019-08-30
| |
0.08
|
2019-07-31
| |
0.08
|
2019-06-28
| |
0.08
|
2019-05-31
| |
0.08
|
2019-04-30
| |
0.08
|
2019-03-29
| |
0.08
|
2019-02-28
| |
0.08
|
2019-01-31
| |
0.08
|
2018-12-31
| |
0.08
|
2018-11-30
| |
0.08
|
2018-10-31
| |
0.08
|
2018-09-28
| |
0.08
|
2018-08-31
| |
0.08
|
2018-07-31
| |
0.08
|
2018-06-29
| |
0.08
|
2018-05-31
| |
0.08
|
2018-04-30
| |
0.08
|
2018-03-29
| |
0.08
|
2018-02-28
| |
0.08
|
2018-01-31
| |
0.08
|
2017-12-29
| |
0.08
|
2017-11-30
| |
0.08
|
2017-10-31
| |
0.08
|
2017-09-29
| |
0.08
|
2017-08-31
| |
0.08
|
2017-07-31
| |
0.08
|
2017-06-30
| |
0.08
|
2017-05-31
| |
0.08
|
2017-04-28
| |
0.08
|
2017-03-31
| |
0.09
|
2017-02-28
| |
0.09
|
2017-01-31
| |
0.09
|
2016-12-30
| |
0.09
|
2016-11-30
| |
0.09
|
2016-10-31
| |
0.09
|
2016-09-30
| |
0.09
|
2016-08-31
| |
0.09
|
2016-07-29
| |
0.09
|
2016-06-30
| |
0.09
|
2016-05-31
| |
0.09
|
2016-04-29
| |
0.09
|
2016-03-31
| |
0.09
|
2016-02-29
| |
0.09
|
2016-01-29
| |
0.09
|
2015-12-30
| |
0.09
|
2015-11-30
| |
0.09
|
2015-10-30
| |
0.09
|
2015-09-30
| |
0.09
|
2015-08-31
| |
0.09
|
2015-07-31
| |
0.09
|
2015-06-30
| |
0.09
|
2015-05-29
| |
0.09
|
2015-04-30
| |
0.09
|
2015-03-31
| |
0.09
|
2015-02-27
| |
0.09
|
2015-01-30
| |
0.09
|
2014-12-31
| |
0.09
|
2014-11-28
| |
0.09
|
2014-10-31
| |
0.09
|
2014-09-30
| |
0.09
|
2014-08-29
| |
0.09
|
2014-07-31
| |
0.09
|
2014-06-30
| |
0.09
|
2014-05-30
| |
0.09
|
2014-04-30
| |
0.09
|
2014-03-31
| |
0.09
|
2014-02-28
| |
0.09
|
2014-01-31
| |
0.09
|
2013-12-31
| |
0.09
|
2013-11-29
| |
0.09
|
2013-10-31
| |
0.09
|
2013-09-30
| |
0.09
|
2013-08-30
| |
0.09
|
2013-07-31
| |
0.09
|
2013-06-28
| |
0.09
|
2013-05-31
| |
0.09
|
2013-04-30
| |
0.09
|
2013-03-28
| |
0.09
|
2013-02-28
| |
0.09
|
2013-01-31
| |
0.28
|
2012-10-31
| |
0.28
|
2012-07-31
| |
0.28
|
2012-04-30
| |
0.32
|
2012-01-31
| |
0.32
|
2011-10-31
| |
0.32
|
2011-07-29
| |
0.32
|
2011-04-29
| |
0.32
|
2011-01-31
| |
0.45
|
2010-10-29
| |
0.45
|
2010-07-30
| |
0.45
|
2010-04-30
| |
0.45
|
2010-01-29
| |
0.45
|
2009-10-30
| |
0.45
|
2009-07-31
| |
0.45
|
2009-04-30
| |
0.45
|
2009-01-30
| |
0.45
|
2008-10-31
| |
0.45
|
2008-07-31
| |
0.45
|
2008-04-30
| |
0.45
|
2008-01-31
| |
0.45
|
2007-10-31
|
