已收盘 11-19 16:00:00 美东时间
0.000
0.00%
Nuveen Diversified Dividend&Income Fund declares $0.2175 dividend
2019-09-05 03:11
公司名称
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Nuveen Diversified Dividend & Income Fund
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行业分类
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--
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业务描述
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Nuveen Diversified Dividend & Income Fund is a closed-end investment fund. Its investment objectives are high current income and total return. The company was founded on September 25, 2003 and is headquartered in Chicago, IL.
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Nuveen Diversified Dividend&Income Fund declares $0.2175 dividend
2019-09-05 03:11
派息除权日
|
每股总股息
| 派息日期 |
2021-09-14
|
0.20
|
2021-10-01
|
2021-06-14
|
0.20
|
2021-07-01
|
2021-03-12
|
0.20
|
2021-04-01
|
2020-12-14
|
0.20
|
2020-12-31
|
2020-09-14
|
0.20
|
2020-10-01
|
2020-06-12
|
0.20
|
2020-07-01
|
2020-03-12
|
0.22
|
2020-04-01
|
2019-12-12
|
0.22
|
2019-12-31
|
2019-09-12
|
0.22
|
2019-10-01
|
2019-06-13
|
0.22
|
2019-07-01
|
2019-03-14
|
0.22
|
2019-04-01
|
2018-12-13
|
0.24
|
2018-12-31
|
2018-09-13
|
0.24
|
2018-10-01
|
2018-06-14
|
0.24
|
2018-07-02
|
2018-03-14
|
0.27
|
2018-04-02
|
2017-12-26
|
0.26
|
2017-12-29
|
2017-12-14
|
0.27
|
2017-12-29
|
2017-09-14
|
0.27
|
2017-10-02
|
2017-06-13
|
0.27
|
2017-07-03
|
2017-03-13
|
0.27
|
2017-04-03
|
2016-12-13
|
0.27
|
2016-12-30
|
2016-09-13
|
0.27
|
2016-10-03
|
2016-06-13
|
0.27
|
2016-07-01
|
2016-03-11
|
0.27
|
2016-04-01
|
2015-12-11
|
0.27
|
2015-12-31
|
2015-09-11
|
0.27
|
2015-10-01
|
2015-06-11
|
0.27
|
2015-07-01
|
2015-03-11
|
0.27
|
2015-04-01
|
2014-12-11
|
0.26
|
2014-12-31
|
2014-09-11
|
0.26
|
2014-10-01
|
2014-06-11
|
0.26
|
2014-07-01
|
2014-03-12
|
0.25
|
2014-04-01
|
2013-12-11
|
0.25
|
2013-12-31
|
2013-09-11
|
0.25
|
2013-10-01
|
2013-06-12
|
0.25
|
2013-07-01
|
2013-03-13
|
0.25
|
2013-04-01
|
2012-12-12
|
0.25
|
2012-12-31
|
2012-09-12
|
0.25
|
2012-10-01
|
2012-06-13
|
0.25
|
2012-07-02
|
2012-03-13
|
0.25
|
2012-04-02
|
2011-12-13
|
0.25
|
2011-12-30
|
2011-09-13
|
0.25
|
2011-10-03
|
2011-06-13
|
0.25
|
2011-07-01
|
2011-03-11
|
0.25
|
2011-04-01
|
2010-12-13
|
0.23
|
2010-12-31
|
2010-09-13
|
0.23
|
2010-10-01
|
2010-06-11
|
0.23
|
2010-07-01
|
2010-03-11
|
0.23
|
2010-04-01
|
2009-12-11
|
0.23
|
2009-12-31
|
2009-09-11
|
0.22
|
2009-10-01
|
2009-06-11
|
0.21
|
2009-07-01
|
2009-03-11
|
0.21
|
2009-04-01
|
2008-12-11
|
0.24
|
2008-12-31
|
2008-09-11
|
0.33
|
2008-10-01
|
2008-06-11
|
0.37
|
2008-07-01
|
2008-03-12
|
0.37
|
2008-04-01
|
2007-12-12
|
0.39
|
2007-12-31
|
2007-09-12
|
0.39
|
2007-10-01
|
2007-06-13
|
0.39
|
2007-07-02
|
2007-03-13
|
0.13
|
2007-04-02
|
2007-02-13
|
0.13
|
2007-03-01
|
2007-01-10
|
0.13
|
2007-02-01
|
2006-12-13
|
0.13
|
2006-12-29
|
2006-11-13
|
0.12
|
2006-12-01
|
2006-10-11
|
0.12
|
2006-11-01
|
2006-09-13
|
0.12
|
2006-10-02
|
2006-08-11
|
0.11
|
2006-09-01
|
2006-07-12
|
0.11
|
2006-08-01
|
2006-06-13
|
0.11
|
2006-07-03
|
2006-05-11
|
0.11
|
2006-06-01
|
2006-04-11
|
0.11
|
2006-05-01
|
2006-03-13
|
0.11
|
2006-04-03
|
2006-02-13
|
0.11
|
2006-03-01
|
2006-01-11
|
0.11
|
2006-02-01
|
2005-12-22
|
0.36
|
2005-12-30
|
2005-12-13
|
0.11
|
2005-12-30
|
2005-11-10
|
0.11
|
2005-12-01
|
2005-10-12
|
0.11
|
2005-11-01
|
2005-09-13
|
0.11
|
2005-10-03
|
2005-08-11
|
0.10
|
2005-09-01
|
2005-07-13
|
0.10
|
2005-08-01
|
2005-06-13
|
0.10
|
2005-07-01
|
2005-05-11
|
0.10
|
2005-06-01
|
2005-04-13
|
0.10
|
2005-05-02
|
2005-03-11
|
0.10
|
2005-04-01
|
2005-02-11
|
0.10
|
2005-03-01
|
2005-01-12
|
0.10
|
2005-02-01
|
2004-12-13
|
0.10
|
2004-12-30
|
2004-11-10
|
0.10
|
2004-12-01
|
2004-10-13
|
0.10
|
2004-11-01
|
2004-09-13
|
0.10
|
2004-10-01
|
2004-08-11
|
0.10
|
2004-09-01
|
2004-07-13
|
0.10
|
2004-08-02
|
2004-06-14
|
0.10
|
2004-07-01
|
2004-05-12
|
0.10
|
2004-06-01
|
2004-04-13
|
0.10
|
2004-05-03
|
2004-03-11
|
0.10
|
2004-04-01
|
2004-02-11
|
0.10
|
2004-03-01
|
2004-01-13
|
0.10
|
2004-02-02
|
2003-12-11
|
0.10
|
2003-12-30
|
2003-11-12
|
0.10
|
2003-12-01
|
