已收盘 03-27 16:00:00 美东时间
-0.110
-0.97%
BlackRock MuniHoldings Fund Portfolio Manager Christian Romaglino Disposes of Common Shares Christian Romaglino, Portfolio Manager, reported a disposal of common shares of BlackRock MuniHoldings Fund Inc. The full filing can be accessed through the link below. Disclaimer: This news brief was created
02-26 08:30
BlackRock MuniHoldings Fund Inc. Completes Municipal Fund Reorganizations BlackRock Advisors, LLC has completed a series of corporate reorganizations involving its municipal closed-end funds. As part of this process, BlackRock MuniHoldings Fund, Inc. (MHD) has absorbed several other funds, including
02-10 20:26
BRIEF-Blackrock Announces Completion Of Certain Municipal Cef Reorganizations And Adoption Of Discount Management Program Feb 9 (Reuters) - BlackRock MuniHoldings Fund Inc MHD.N : BLACKROCK ANNOUNCES COMPLETION OF CERTAIN MUNICIPAL CEF REORGANIZATIONS AND ADOPTION OF DISCOUNT MANAGEMENT PROGRAM Sour
02-09 21:51
BlackRock MuniHoldings Fund Inc. has announced a Special Meeting of Shareholders scheduled to be held on October 15, 2025. The meeting will involve important discussions pertinent to the shareholders,...
2025-09-09 02:14
BlackRock MuniHoldings Fund Inc. has scheduled a Joint Special Meeting of Shareholders on October 15, 2025. During this meeting, shareholders will be asked to vote on various proposals concerning the ...
2025-08-08 05:03
BlackRock MuniHoldings Fund Inc. has announced an update to its distribution pay dates for its municipal closed-end funds. Originally scheduled for August 1, 2025, the new payable date for the July 20...
2025-07-10 05:30
BlackRock MuniHoldings Fund (NYSE:MHD) declares $0.0595/share monthly dividend. Payable Aug. 1; for shareholders of record July 15; ex-div July 15. See MHD Dividend Scorecard, Yield Chart, & Dividend...
2025-07-02 17:48
BlackRock MuniHoldings Fund Inc. announced the distribution dates and amounts for several of its closed-end funds on June 2, 2025. The distributions are set for declaration on June 2, 2025, with an ex...
2025-06-03 15:33
Announcement of Periodic Review: Moody's announces completion of a periodic rev...
2021-08-14 00:05
The benchmark of the municipal bonds reported its biggest weekly decline since ...
2019-09-19 18:01
公司名称
|
BlackRock MuniHoldings Fund, Inc.
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行业分类
|
Investment Trusts/Mutual Funds
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业务描述
|
BlackRock MuniHoldings Fund, Inc. is a closed-end investment fund, which engages in investment activities. Its objective is to provide shareholders with current income exempt from U.S. federal income taxes. The company was founded on February 28, 1997 and is headquartered in Wilmington, DE.
|
BlackRock MuniHoldings Fund Portfolio Manager Christian Romaglino Disposes of Common Shares Christian Romaglino, Portfolio Manager, reported a disposal of common shares of BlackRock MuniHoldings Fund Inc. The full filing can be accessed through the link below. Disclaimer: This news brief was created
02-26 08:30
BlackRock MuniHoldings Fund Inc. Completes Municipal Fund Reorganizations BlackRock Advisors, LLC has completed a series of corporate reorganizations involving its municipal closed-end funds. As part of this process, BlackRock MuniHoldings Fund, Inc. (MHD) has absorbed several other funds, including
02-10 20:26
BRIEF-Blackrock Announces Completion Of Certain Municipal Cef Reorganizations And Adoption Of Discount Management Program Feb 9 (Reuters) - BlackRock MuniHoldings Fund Inc MHD.N : BLACKROCK ANNOUNCES COMPLETION OF CERTAIN MUNICIPAL CEF REORGANIZATIONS AND ADOPTION OF DISCOUNT MANAGEMENT PROGRAM Sour
02-09 21:51
BlackRock MuniHoldings Fund Inc. has announced a Special Meeting of Shareholders scheduled to be held on October 15, 2025. The meeting will involve important discussions pertinent to the shareholders,...
2025-09-09 02:14
BlackRock MuniHoldings Fund Inc. has scheduled a Joint Special Meeting of Shareholders on October 15, 2025. During this meeting, shareholders will be asked to vote on various proposals concerning the ...
2025-08-08 05:03
BlackRock MuniHoldings Fund Inc. has announced an update to its distribution pay dates for its municipal closed-end funds. Originally scheduled for August 1, 2025, the new payable date for the July 20...
2025-07-10 05:30
BlackRock MuniHoldings Fund (NYSE:MHD) declares $0.0595/share monthly dividend. Payable Aug. 1; for shareholders of record July 15; ex-div July 15. See MHD Dividend Scorecard, Yield Chart, & Dividend...
2025-07-02 17:48
BlackRock MuniHoldings Fund Inc. announced the distribution dates and amounts for several of its closed-end funds on June 2, 2025. The distributions are set for declaration on June 2, 2025, with an ex...
2025-06-03 15:33
Announcement of Periodic Review: Moody's announces completion of a periodic rev...
2021-08-14 00:05
The benchmark of the municipal bonds reported its biggest weekly decline since ...
2019-09-19 18:01
派息除权日
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每股总股息
| 派息日期 |
2026-06-15
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0.06
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2026-07-01
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2026-05-15
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0.06
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2026-06-01
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2026-04-15
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0.06
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2026-05-01
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2026-03-13
|
0.06
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2026-04-01
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2026-02-06
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0.06
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2026-03-02
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2026-01-20
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0.06
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2026-02-02
|
2025-12-22
|
0.06
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2025-12-31
|
2025-11-14
|
0.06
|
2025-12-01
|
2025-10-15
|
0.06
|
2025-11-03
|
2025-09-15
|
0.06
|
2025-10-01
|
2025-08-15
|
0.06
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2025-09-02
|
2025-07-15
|
0.06
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2025-07-31
|
2025-06-13
|
0.06
|
2025-07-01
|
2025-05-15
|
0.06
|
2025-06-02
|
2025-04-15
|
0.06
|
2025-05-01
|
2025-03-14
|
0.06
|
2025-04-01
|
2025-02-14
|
0.06
|
2025-03-03
|
2025-01-15
|
0.06
|
2025-02-03
|
2024-12-16
|
0.06
|
2024-12-31
|
2024-11-15
|
0.06
|
2024-12-02
|
2024-10-15
|
0.06
|
2024-11-01
|
2024-09-16
|
0.05
|
2024-10-01
|
2024-08-15
|
0.05
|
2024-09-03
|
2024-07-15
|
0.05
|
2024-08-01
|
2024-06-14
|
0.05
|
2024-07-01
|
2024-05-14
|
0.05
|
2024-06-03
|
2024-04-12
|
0.05
|
2024-05-01
|
2024-03-14
|
0.05
|
2024-04-01
|
2024-02-14
|
0.05
|
2024-03-01
|
2024-01-11
|
0.05
|
2024-02-01
|
2023-12-14
|
0.05
|
2023-12-29
|
2023-11-14
|
0.04
|
2023-12-01
|
2023-10-13
|
0.04
|
2023-11-01
|
2023-09-14
|
0.04
|
2023-10-02
|
2023-08-14
|
0.04
|
2023-09-01
|
2023-07-13
|
0.04
|
2023-07-31
|
2023-06-14
|
0.04
|
2023-07-03
|
2023-05-12
|
0.04
|
2023-06-01
|
2023-04-13
|
0.04
|
2023-05-01
|
2023-03-14
|
0.04
|
2023-04-03
|
2023-02-14
|
0.04
|
2023-03-01
|
2023-01-12
|
0.04
|
2023-02-01
|
2022-12-15
|
0.04
|
2022-12-30
|
2022-11-14
|
0.05
|
2022-12-01
|
2022-10-13
|
0.05
|
2022-11-01
|
2022-09-14
|
0.06
|
2022-10-03
|
2022-08-12
|
0.06
|
2022-09-01
|
2022-07-14
|
0.06
|
2022-08-01
|
2022-06-14
|
0.06
|
2022-07-01
|
2022-05-13
|
0.06
|
2022-06-01
|
2022-04-13
|
0.06
|
2022-05-02
|
2022-03-14
|
0.06
|
2022-04-01
|
2022-02-14
|
0.06
|
2022-03-01
|
2022-01-13
|
0.06
|
2022-02-01
|
2021-12-16
|
0.06
|
2021-12-31
|
2021-11-12
|
0.06
|
2021-12-01
|
2021-10-14
|
0.06
|
2021-11-01
|
2021-09-14
|
0.06
|
2021-10-01
|
2021-08-13
|
0.06
|
2021-09-01
|
2021-07-14
|
0.06
|
2021-08-02
|
2021-06-14
|
0.06
|
2021-07-01
|
2021-05-13
|
0.06
|
2021-06-01
|
2021-04-14
|
0.06
|
2021-05-03
|
2021-03-02
|
0.06
|
2021-04-01
|
2021-02-12
|
0.06
|
2021-03-01
|
2021-01-14
|
0.06
|
2021-02-01
|
2020-12-14
|
0.06
|
2020-12-31
|
2020-11-13
|
0.06
|
2020-12-01
|
2020-10-14
|
0.06
|
2020-11-02
|
2020-09-14
|
0.06
|
2020-10-01
|
2020-08-13
|
0.06
|
2020-09-01
|
2020-07-14
|
0.06
|
2020-08-03
|
2020-06-12
|
0.06
|
2020-07-01
|
2020-05-14
|
0.06
|
2020-06-01
|
2020-04-14
|
0.06
|
2020-05-01
|
2020-03-13
|
0.06
|
2020-04-01
|
2020-02-13
|
0.06
|
2020-03-02
|
2020-01-14
|
0.06
|
2020-02-03
|
2019-12-13
|
0.06
|
2019-12-31
|
2019-11-14
|
0.06
|
2019-12-02
|
2019-10-11
|
0.06
|
2019-11-01
|
2019-09-13
|
0.06
|
2019-10-01
|
2019-08-14
|
0.06
|
2019-09-03
|
2019-07-12
|
0.06
|
2019-08-01
|
2019-06-13
|
0.07
|
2019-07-01
|
2019-05-14
|
0.07
|
2019-06-03
|
2019-04-12
|
0.07
|
2019-05-01
|
2019-03-14
|
0.07
|
2019-04-01
|
2019-02-14
|
0.07
|
2019-03-01
|
2019-01-14
|
0.07
|
2019-02-01
|
2018-12-12
|
0.12
|
2018-12-31
|
2018-11-14
|
0.07
|
2018-12-03
|
2018-10-12
|
0.07
|
2018-11-01
|
2018-09-13
|
0.07
|
2018-10-01
|
2018-08-14
|
0.07
|
2018-09-04
|
2018-07-13
|
0.07
|
2018-08-01
|
2018-06-14
|
0.07
|
2018-07-02
|
2018-05-14
|
0.07
|
2018-06-01
|
2018-04-13
|
0.07
|
2018-05-01
|
2018-03-14
|
0.07
|
2018-04-02
|
2018-02-14
|
0.07
|
2018-03-01
|
2018-01-12
|
0.07
|
2018-02-01
|
2017-12-11
|
0.08
|
2017-12-29
|
2017-11-14
|
0.07
|
2017-12-01
|
2017-10-13
|
0.07
|
2017-11-01
|
2017-09-14
|
0.08
|
2017-10-02
|
2017-08-11
|
0.08
|
2017-09-01
|
2017-07-12
|
0.08
|
2017-08-01
|
2017-06-13
|
0.08
|
2017-07-03
|
2017-05-11
|
0.08
|
2017-06-01
|
2017-04-11
|
0.08
|
2017-05-01
|
2017-03-13
|
0.08
|
2017-04-03
|
2017-02-13
|
0.08
|
2017-03-01
|
2017-01-11
|
0.08
|
2017-02-01
|
2016-12-08
|
0.08
|
2016-12-30
|
2016-11-10
|
0.08
|
2016-12-01
|
2016-10-12
|
0.08
|
2016-11-01
|
2016-09-13
|
0.08
|
2016-10-03
|
2016-08-11
|
0.08
|
2016-09-01
|
2016-07-13
|
0.08
|
2016-08-01
|
2016-06-13
|
0.08
|
2016-07-01
|
2016-05-12
|
0.09
|
2016-06-01
|
2016-04-13
|
0.09
|
2016-05-02
|
2016-03-11
|
0.09
|
2016-04-01
|
2016-02-11
|
0.09
|
2016-03-01
|
2016-01-13
|
0.09
|
2016-02-01
|
2015-12-10
|
0.10
|
2015-12-31
|
2015-11-12
|
0.09
|
2015-12-01
|
2015-10-13
|
0.09
|
2015-11-02
|
2015-09-11
|
0.09
|
2015-10-01
|
2015-08-12
|
0.09
|
2015-09-01
|
2015-07-13
|
0.09
|
2015-08-03
|
2015-06-11
|
0.09
|
2015-07-01
|
2015-05-13
|
0.09
|
2015-06-01
|
2015-04-13
|
0.09
|
2015-05-01
|
2015-03-11
|
0.09
|
2015-04-01
|
2015-02-11
|
0.09
|
2015-03-02
|
2015-01-13
|
0.09
|
2015-02-02
|
2014-12-10
|
0.09
|
2014-12-31
|
2014-11-12
|
0.09
|
2014-12-01
|
2014-10-10
|
0.09
|
2014-11-03
|
2014-09-11
|
0.09
|
2014-10-01
|
2014-08-13
|
0.09
|
2014-09-02
|
2014-07-11
|
0.09
|
2014-08-01
|
2014-06-12
|
0.09
|
2014-07-01
|
2014-05-13
|
0.09
|
2014-06-02
|
2014-04-11
|
0.09
|
2014-05-01
|
2014-03-12
|
0.09
|
2014-04-01
|
2014-02-12
|
0.09
|
2014-03-03
|
2014-01-13
|
0.09
|
2014-02-03
|
2013-12-11
|
0.10
|
2013-12-31
|
2013-11-13
|
0.09
|
2013-12-02
|
2013-10-11
|
0.09
|
2013-11-01
|
2013-09-12
|
0.09
|
2013-10-01
|
2013-08-13
|
0.09
|
2013-09-03
|
2013-07-11
|
0.09
|
2013-08-01
|
2013-06-12
|
0.09
|
2013-07-01
|
2013-05-13
|
0.09
|
2013-06-03
|
2013-04-11
|
0.09
|
2013-05-01
|
2013-03-13
|
0.09
|
2013-04-01
|
2013-02-13
|
0.09
|
2013-03-01
|
2013-01-11
|
0.09
|
2013-02-01
|
2012-12-12
|
0.31
|
2012-12-31
|
2012-11-13
|
0.09
|
2012-12-03
|
2012-10-11
|
0.09
|
2012-11-01
|
2012-09-12
|
0.09
|
2012-10-01
|
2012-08-13
|
0.09
|
2012-09-04
|
2012-07-12
|
0.09
|
2012-08-01
|
2012-06-13
|
0.09
|
2012-07-02
|
2012-05-11
|
0.09
|
2012-06-01
|
2012-04-12
|
0.09
|
2012-05-01
|
2012-03-13
|
0.09
|
2012-04-02
|
2012-02-13
|
0.09
|
2012-03-01
|
2012-01-11
|
0.09
|
2012-02-01
|
2011-12-13
|
0.09
|
2011-12-30
|
2011-11-10
|
0.09
|
2011-12-01
|
2011-10-12
|
0.09
|
2011-11-01
|
2011-09-13
|
0.09
|
2011-10-03
|
2011-08-11
|
0.09
|
2011-09-01
|
2011-07-13
|
0.09
|
2011-08-01
|
2011-06-13
|
0.09
|
2011-07-01
|
2011-05-12
|
0.09
|
2011-06-01
|
2011-04-13
|
0.09
|
2011-05-02
|
2011-03-11
|
0.09
|
2011-04-01
|
2011-02-11
|
0.09
|
2011-03-01
|
2011-01-12
|
0.09
|
2011-02-01
|
2010-12-13
|
0.21
|
2010-12-31
|
2010-11-10
|
0.09
|
2010-12-01
|
2010-10-13
|
0.09
|
2010-11-01
|
2010-09-13
|
0.09
|
2010-10-01
|
2010-08-12
|
0.09
|
2010-09-01
|
2010-07-13
|
0.09
|
2010-08-02
|
2010-06-11
|
0.09
|
2010-07-01
|
2010-05-12
|
0.09
|
2010-06-01
|
2010-04-13
|
0.09
|
2010-05-03
|
2010-03-11
|
0.09
|
2010-04-01
|
2010-02-10
|
0.08
|
2010-03-01
|
2010-01-13
|
0.08
|
2010-02-01
|
2009-12-11
|
0.11
|
2009-12-31
|
2009-11-10
|
0.08
|
2009-12-01
|
2009-10-13
|
0.08
|
2009-11-02
|
2009-09-11
|
0.08
|
2009-10-01
|
2009-08-12
|
0.08
|
2009-09-01
|
2009-07-13
|
0.08
|
2009-08-03
|
2009-06-11
|
0.08
|
2009-07-01
|
2009-05-13
|
0.07
|
2009-06-01
|
2009-04-13
|
0.07
|
2009-05-01
|
2009-03-12
|
0.07
|
2009-04-01
|
2009-02-11
|
0.07
|
2009-03-02
|
2009-01-13
|
0.07
|
2009-02-02
|
2008-12-11
|
0.09
|
2008-12-31
|
2008-11-12
|
0.07
|
2008-12-01
|
2008-10-10
|
0.07
|
2008-11-03
|
2008-09-11
|
0.07
|
2008-10-01
|
2008-08-13
|
0.07
|
2008-09-02
|
2008-07-11
|
0.07
|
2008-08-01
|
2008-06-12
|
0.07
|
2008-07-01
|
2008-05-13
|
0.07
|
2008-06-02
|
2008-04-11
|
0.07
|
2008-05-01
|
2008-03-12
|
0.07
|
2008-04-01
|
2008-02-13
|
0.07
|
2008-03-03
|
2008-01-17
|
0.07
|
2008-02-01
|
2007-12-12
|
0.15
|
2007-12-31
|
2007-11-13
|
0.07
|
2007-12-03
|
2007-10-11
|
0.07
|
2007-11-01
|
2007-09-12
|
0.07
|
2007-10-01
|
2007-08-13
|
0.07
|
2007-09-04
|
2007-07-12
|
0.07
|
2007-08-01
|
2007-06-13
|
0.07
|
2007-07-02
|
2007-05-11
|
0.07
|
2007-06-01
|
2007-04-12
|
0.07
|
2007-05-01
|
2007-03-13
|
0.07
|
2007-04-02
|
2007-02-13
|
0.07
|
2007-03-01
|
2007-01-11
|
0.07
|
2007-02-01
|
2006-12-13
|
0.07
|
2006-12-28
|
2006-11-10
|
0.08
|
2006-11-29
|
2006-10-12
|
0.08
|
2006-10-30
|
2006-09-13
|
0.08
|
2006-09-28
|
2006-08-10
|
0.08
|
2006-08-30
|
2006-07-13
|
0.08
|
2006-07-28
|
2006-06-09
|
0.08
|
2006-06-29
|
2006-05-11
|
0.08
|
2006-05-30
|
2006-04-12
|
0.08
|
2006-04-27
|
2006-03-10
|
0.08
|
2006-03-30
|
2006-02-10
|
0.08
|
2006-02-27
|
2006-01-13
|
0.08
|
2006-01-30
|
2005-12-13
|
0.09
|
2005-12-29
|
2005-11-10
|
0.09
|
2005-11-29
|
2005-10-13
|
0.09
|
2005-10-28
|
2005-09-12
|
0.09
|
2005-09-29
|
2005-08-11
|
0.10
|
2005-08-30
|
2005-07-12
|
0.10
|
2005-07-28
|
2005-06-10
|
0.10
|
2005-06-29
|
2005-05-11
|
0.10
|
2005-05-27
|
2005-04-13
|
0.10
|
2005-04-28
|
2005-03-11
|
0.10
|
2005-03-30
|
2005-02-11
|
0.10
|
2005-02-25
|
2005-01-14
|
0.10
|
2005-01-28
|
2004-12-13
|
0.10
|
2004-12-29
|
2004-11-09
|
0.10
|
2004-11-29
|
2004-10-13
|
0.10
|
2004-10-28
|
2004-09-10
|
0.10
|
2004-09-29
|
2004-08-12
|
0.10
|
2004-08-30
|
2004-07-13
|
0.10
|
2004-07-29
|
2004-06-10
|
0.10
|
2004-06-29
|
2004-05-12
|
0.10
|
2004-05-27
|
2004-04-14
|
0.10
|
2004-04-29
|
2004-03-11
|
0.10
|
2004-03-30
|
2004-02-11
|
0.10
|
2004-02-26
|
2004-01-14
|
0.09
|
2004-01-29
|
2003-12-15
|
0.09
|
2003-12-30
|
2003-11-12
|
0.09
|
2003-11-26
|
2003-10-15
|
0.09
|
2003-10-30
|
2003-09-12
|
0.09
|
2003-09-29
|
2003-08-13
|
0.09
|
2003-08-28
|
2003-07-15
|
0.09
|
2003-07-30
|
2003-06-12
|
0.09
|
2003-06-27
|
2003-05-14
|
0.09
|
2003-05-29
|
2003-04-14
|
0.09
|
2003-04-29
|
2003-03-13
|
0.09
|
2003-03-28
|
2003-02-12
|
0.09
|
2003-02-27
|
2003-01-14
|
0.08
|
2003-01-30
|
2002-12-11
|
0.08
|
2002-12-30
|
2002-11-12
|
0.08
|
2002-11-27
|
2002-10-16
|
0.08
|
2002-10-30
|
2002-09-13
|
0.08
|
2002-09-27
|
2002-08-15
|
0.08
|
2002-08-29
|
2002-07-16
|
0.08
|
2002-07-30
|
2002-06-13
|
0.08
|
2002-06-27
|
2002-05-16
|
0.08
|
2002-05-30
|
2002-04-15
|
0.08
|
2002-04-29
|
2002-03-14
|
0.08
|
2002-03-28
|
2002-02-13
|
0.08
|
2002-02-27
|
2002-01-11
|
0.09
|
2002-01-30
|
2001-12-18
|
0.09
|
2001-12-28
|
2001-11-16
|
0.08
|
2001-11-29
|
2001-10-12
|
0.08
|
2001-10-30
|
2001-09-14
|
0.08
|
2001-09-27
|
2001-08-16
|
0.08
|
2001-08-30
|
2001-07-13
|
0.08
|
2001-07-30
|
2001-06-15
|
0.07
|
2001-06-28
|
2001-05-14
|
0.07
|
2001-05-30
|
2001-04-11
|
0.07
|
2001-04-27
|
2001-03-15
|
0.07
|
2001-03-29
|
2001-02-14
|
0.06
|
2001-02-27
|
2001-01-11
|
0.06
|
2001-01-30
|
2000-12-18
|
0.06
|
2000-12-28
|
2000-11-16
|
0.07
|
2000-11-29
|
2000-10-13
|
0.07
|
2000-10-30
|
2000-09-14
|
0.07
|
2000-09-28
|
2000-08-16
|
0.07
|
2000-08-30
|
2000-07-13
|
0.08
|
2000-07-28
|
2000-06-15
|
0.08
|
2000-06-29
|
2000-05-12
|
0.08
|
2000-05-30
|
2000-04-13
|
0.08
|
2000-04-27
|
2000-03-15
|
0.08
|
2000-03-30
|
2000-02-15
|
0.08
|
2000-02-28
|
2000-01-13
|
0.08
|
2000-01-28
|
1999-12-21
|
0.25
|
1999-12-30
|
1999-11-18
|
0.08
|
1999-11-29
|
1999-10-20
|
0.08
|
1999-10-28
|
1999-09-20
|
0.08
|
1999-09-29
|
1999-08-19
|
0.08
|
1999-08-30
|
1999-07-21
|
0.08
|
1999-07-29
|
1999-06-21
|
0.08
|
1999-06-29
|
1999-05-19
|
0.08
|
1999-05-27
|
1999-04-20
|
0.08
|
1999-04-29
|
1999-03-22
|
0.07
|
1999-03-30
|
1999-02-17
|
0.08
|
1999-02-25
|
1999-01-20
|
0.08
|
1999-01-28
|
1998-12-21
|
0.41
|
1998-12-30
|
1998-11-18
|
0.09
|
1998-11-27
|
1998-10-20
|
0.08
|
1998-10-29
|
1998-09-18
|
0.08
|
1998-09-29
|
1998-08-19
|
0.08
|
1998-08-28
|
1998-07-21
|
0.08
|
1998-07-30
|
1998-06-18
|
0.08
|
1998-06-29
|
1998-05-19
|
0.07
|
1998-05-28
|
1998-04-20
|
0.08
|
1998-04-29
|
1998-03-19
|
0.07
|
1998-03-30
|
1998-02-17
|
0.08
|
1998-02-26
|
1998-01-20
|
0.08
|
1998-01-29
|
1997-12-17
|
0.08
|
1997-12-30
|
1997-11-13
|
0.08
|
1997-11-26
|
1997-10-16
|
0.08
|
1997-10-30
|
1997-09-16
|
0.08
|
1997-09-29
|
1997-08-14
|
0.09
|
1997-08-28
|
1997-07-17
|
0.15
|
1997-07-30
|
