Hedged Com Unit USD/First Asset Investment Grade Bond ETF (OTCBB:CIGBF) Dividend History
Click to see Hedged Com Unit USD/First Asset Investment Grade Bond ETF Dividend Data, Dates and more financial information, or here to see CIGBF Projected 10 Year Dividend Yield.
Hedged Com Unit USD/First Asset Investment Grade Bond ETF (OTCBB:CIGBF) Dividend Information | |||||
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Hedged Com Unit USD/First Asset Investment Grade Bond ETF (OTCBB:CIGBF) Dividend History | |||||
Hedged Com Unit USD/First Asset Investment Grade Bond ETFCIGBF 2024 Dividends | |||||
Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
May. 13, 20245/13/24 | May. 23, 20245/23/24 | May. 24, 20245/24/24 | May. 31, 20245/31/24 | 0 | 0.025 |
Apr. 15, 20244/15/24 | Apr. 23, 20244/23/24 | Apr. 24, 20244/24/24 | Apr. 30, 20244/30/24 | 0 | 0.025 |
Mar. 13, 20243/13/24 | Mar. 21, 20243/21/24 | Mar. 22, 20243/22/24 | Mar. 28, 20243/28/24 | 0 | 0.025 |
Feb. 14, 20242/14/24 | Feb. 22, 20242/22/24 | Feb. 23, 20242/23/24 | Feb. 29, 20242/29/24 | 0 | 0.025 |
Jan. 16, 20241/16/24 | Jan. 24, 20241/24/24 | Jan. 25, 20241/25/24 | Jan. 31, 20241/31/24 | 0 | 0.025 |
Hedged Com Unit USD/First Asset Investment Grade Bond ETFCIGBF 2024 Total: | 0.124 | ||||
Hedged Com Unit USD/First Asset Investment Grade Bond ETFCIGBF 2023 Dividends | |||||
Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
Dec. 12, 202312/12/23 | Dec. 20, 202312/20/23 | Dec. 21, 202312/21/23 | Dec. 29, 202312/29/23 | 0 | 0.025 |
Nov. 15, 202311/15/23 | Nov. 23, 202311/23/23 | Nov. 24, 202311/24/23 | Nov. 30, 202311/30/23 | 0 | 0.025 |
Oct. 16, 202310/16/23 | Oct. 24, 202310/24/23 | Oct. 25, 202310/25/23 | Oct. 31, 202310/31/23 | 0 | 0.025 |
Sep. 14, 20239/14/23 | Sep. 22, 20239/22/23 | Sep. 25, 20239/25/23 | Sep. 29, 20239/29/23 | 0 | 0.025 |
Aug. 16, 20238/16/23 | Aug. 24, 20238/24/23 | Aug. 25, 20238/25/23 | Aug. 31, 20238/31/23 | 0 | 0.025 |
Jul. 14, 20237/14/23 | Jul. 24, 20237/24/23 | Jul. 25, 20237/25/23 | Jul. 31, 20237/31/23 | 0 | 0.025 |
Jun. 15, 20236/15/23 | Jun. 23, 20236/23/23 | Jun. 26, 20236/26/23 | Jun. 30, 20236/30/23 | 0 | 0.025 |
May. 16, 20235/16/23 | May. 24, 20235/24/23 | May. 25, 20235/25/23 | May. 31, 20235/31/23 | 0 | 0.025 |
Apr. 13, 20234/13/23 | Apr. 21, 20234/21/23 | Apr. 24, 20234/24/23 | Apr. 28, 20234/28/23 | 0 | 0.025 |
Mar. 16, 20233/16/23 | Mar. 24, 20233/24/23 | Mar. 27, 20233/27/23 | Mar. 31, 20233/31/23 | 0 | 0.025 |
Feb. 10, 20232/10/23 | Feb. 21, 20232/21/23 | Feb. 22, 20232/22/23 | Feb. 28, 20232/28/23 | 0 | 0.025 |
Jan. 16, 20231/16/23 | Jan. 24, 20231/24/23 | Jan. 25, 20231/25/23 | Jan. 31, 20231/31/23 | 0 | 0.025 |
Hedged Com Unit USD/First Asset Investment Grade Bond ETFCIGBF 2023 Total: | 0.298 | ||||
Hedged Com Unit USD/First Asset Investment Grade Bond ETFCIGBF 2022 Dividends | |||||
Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
Dec. 13, 202212/13/22 | Dec. 21, 202212/21/22 | Dec. 22, 202212/22/22 | Dec. 30, 202212/30/22 | 0 | 0.025 |
Nov. 15, 202211/15/22 | Nov. 23, 202211/23/22 | Nov. 24, 202211/24/22 | Nov. 30, 202211/30/22 | 0 | 0.025 |
Oct. 14, 202210/14/22 | Oct. 24, 202210/24/22 | Oct. 25, 202210/25/22 | Oct. 31, 202210/31/22 | 0 | 0.025 |
Sep. 14, 20229/14/22 | Sep. 22, 20229/22/22 | Sep. 23, 20229/23/22 | Sep. 29, 20229/29/22 | 0 | 0.025 |
Aug. 16, 20228/16/22 | Aug. 24, 20228/24/22 | Aug. 25, 20228/25/22 | Aug. 31, 20228/31/22 | 0 | 0.025 |
Jul. 14, 20227/14/22 | Jul. 22, 20227/22/22 | Jul. 25, 20227/25/22 | Jul. 29, 20227/29/22 | 0 | 0.025 |
Jun. 15, 20226/15/22 | Jun. 23, 20226/23/22 | Jun. 24, 20226/24/22 | Jun. 30, 20226/30/22 | 0 | 0.025 |
May. 13, 20225/13/22 | May. 24, 20225/24/22 | May. 25, 20225/25/22 | May. 31, 20225/31/22 | 0 | 0.025 |
Apr. 13, 20224/13/22 | Apr. 22, 20224/22/22 | Apr. 25, 20224/25/22 | Apr. 29, 20224/29/22 | 0 | 0.025 |
Mar. 16, 20223/16/22 | Mar. 24, 20223/24/22 | Mar. 25, 20223/25/22 | Mar. 31, 20223/31/22 | 0 | 0.025 |
Feb. 10, 20222/10/22 | Feb. 18, 20222/18/22 | Feb. 22, 20222/22/22 | Feb. 28, 20222/28/22 | 0 | 0.025 |
Jan. 14, 20221/14/22 | Jan. 24, 20221/24/22 | Jan. 25, 20221/25/22 | Jan. 31, 20221/31/22 | 0 | 0.025 |
Hedged Com Unit USD/First Asset Investment Grade Bond ETFCIGBF 2022 Total: | 0.298 | ||||
Hedged Com Unit USD/First Asset Investment Grade Bond ETFCIGBF 2021 Dividends | |||||
Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
Dec. 14, 202112/14/21 | Dec. 22, 202112/22/21 | Dec. 23, 202112/23/21 | Dec. 31, 202112/31/21 | 0 | 0.025 |
Nov. 15, 202111/15/21 | Nov. 23, 202111/23/21 | Nov. 24, 202111/24/21 | Nov. 30, 202111/30/21 | 0 | 0.025 |
Oct. 14, 202110/14/21 | Oct. 22, 202110/22/21 | Oct. 25, 202110/25/21 | Oct. 29, 202110/29/21 | 0 | 0.025 |
Sep. 15, 20219/15/21 | Sep. 22, 20219/22/21 | Sep. 23, 20219/23/21 | Sep. 29, 20219/29/21 | 0 | 0.025 |
Aug. 16, 20218/16/21 | Aug. 24, 20218/24/21 | Aug. 25, 20218/25/21 | Aug. 31, 20218/31/21 | 0 | 0.025 |
Jul. 15, 20217/15/21 | Jul. 23, 20217/23/21 | Jul. 26, 20217/26/21 | Jul. 30, 20217/30/21 | 0 | 0.025 |
Jun. 15, 20216/15/21 | Jun. 23, 20216/23/21 | Jun. 24, 20216/24/21 | Jun. 30, 20216/30/21 | 0 | 0.025 |
May. 12, 20215/12/21 | May. 20, 20215/20/21 | May. 21, 20215/21/21 | May. 28, 20215/28/21 | 0 | 0.025 |
Apr. 15, 20214/15/21 | Apr. 23, 20214/23/21 | Apr. 26, 20214/26/21 | Apr. 30, 20214/30/21 | 0 | 0.025 |
Mar. 16, 20213/16/21 | Mar. 24, 20213/24/21 | Mar. 25, 20213/25/21 | Mar. 31, 20213/31/21 | 0 | 0.025 |
Feb. 10, 20212/10/21 | Feb. 19, 20212/19/21 | Feb. 22, 20212/22/21 | Feb. 26, 20212/26/21 | 0 | 0.025 |
Jan. 14, 20211/14/21 | Jan. 22, 20211/22/21 | Jan. 25, 20211/25/21 | Jan. 29, 20211/29/21 | 0 | 0.025 |
Hedged Com Unit USD/First Asset Investment Grade Bond ETFCIGBF 2021 Total: | 0.298 | ||||
Hedged Com Unit USD/First Asset Investment Grade Bond ETFCIGBF 2020 Dividends | |||||
Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
Dec. 14, 202012/14/20 | Dec. 22, 202012/22/20 | Dec. 23, 202012/23/20 | Dec. 31, 202012/31/20 | 0 | 0.025 |
Nov. 13, 202011/13/20 | Nov. 23, 202011/23/20 | Nov. 24, 202011/24/20 | Nov. 30, 202011/30/20 | 0 | 0.025 |
Oct. 15, 202010/15/20 | Oct. 23, 202010/23/20 | Oct. 26, 202010/26/20 | Oct. 30, 202010/30/20 | 0 | 0.025 |
Sep. 15, 20209/15/20 | Sep. 23, 20209/23/20 | Sep. 24, 20209/24/20 | Sep. 30, 20209/30/20 | 0 | 0.025 |
Aug. 14, 20208/14/20 | Aug. 24, 20208/24/20 | Aug. 25, 20208/25/20 | Aug. 31, 20208/31/20 | 0 | 0.025 |
Jul. 16, 20207/16/20 | Jul. 24, 20207/24/20 | Jul. 27, 20207/27/20 | Jul. 31, 20207/31/20 | 0 | 0.025 |
Jun. 15, 20206/15/20 | Jun. 23, 20206/23/20 | Jun. 24, 20206/24/20 | Jun. 30, 20206/30/20 | 0 | 0.025 |
May. 13, 20205/13/20 | May. 22, 20205/22/20 | May. 25, 20205/25/20 | May. 29, 20205/29/20 | 0 | 0.025 |
Apr. 15, 20204/15/20 | Apr. 23, 20204/23/20 | Apr. 24, 20204/24/20 | Apr. 30, 20204/30/20 | 0 | 0.025 |
Mar. 16, 20203/16/20 | Mar. 24, 20203/24/20 | Mar. 25, 20203/25/20 | Mar. 31, 20203/31/20 | 0 | 0.025 |
Feb. 12, 20202/12/20 | Feb. 21, 20202/21/20 | Feb. 24, 20202/24/20 | Feb. 28, 20202/28/20 | 0 | 0.025 |
Jan. 16, 20201/16/20 | Jan. 24, 20201/24/20 | Jan. 27, 20201/27/20 | Jan. 31, 20201/31/20 | 0 | 0.025 |
Hedged Com Unit USD/First Asset Investment Grade Bond ETFCIGBF 2020 Total: | 0.298 | ||||
Hedged Com Unit USD/First Asset Investment Grade Bond ETFCIGBF 2019 Dividends | |||||
Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
Dec. 12, 201912/12/19 | Dec. 20, 201912/20/19 | Dec. 23, 201912/23/19 | Dec. 31, 201912/31/19 | 0 | 0.025 |
Nov. 14, 201911/14/19 | Nov. 22, 201911/22/19 | Nov. 25, 201911/25/19 | Nov. 29, 201911/29/19 | 0 | 0.025 |
Oct. 16, 201910/16/19 | Oct. 24, 201910/24/19 | Oct. 25, 201910/25/19 | Oct. 31, 201910/31/19 | 0 | 0.025 |
Sep. 13, 20199/13/19 | Sep. 23, 20199/23/19 | Sep. 24, 20199/24/19 | Sep. 30, 20199/30/19 | 0 | 0.022 |
Aug. 15, 20198/15/19 | Aug. 23, 20198/23/19 | Aug. 26, 20198/26/19 | Aug. 30, 20198/30/19 | 0 | 0.025 |
Jul. 16, 20197/16/19 | Jul. 24, 20197/24/19 | Jul. 25, 20197/25/19 | Jul. 31, 20197/31/19 | 0 | 0.025 |
Jun. 13, 20196/13/19 | Jun. 21, 20196/21/19 | Jun. 24, 20196/24/19 | Jun. 28, 20196/28/19 | 0 | 0.025 |
May. 15, 20195/15/19 | May. 24, 20195/24/19 | May. 27, 20195/27/19 | May. 31, 20195/31/19 | 0 | 0.025 |
Apr. 12, 20194/12/19 | Apr. 23, 20194/23/19 | Apr. 24, 20194/24/19 | Apr. 30, 20194/30/19 | 0 | 0.025 |
Mar. 14, 20193/14/19 | Mar. 22, 20193/22/19 | Mar. 25, 20193/25/19 | Mar. 29, 20193/29/19 | 0 | 0.025 |
Feb. 12, 20192/12/19 | Feb. 21, 20192/21/19 | Feb. 22, 20192/22/19 | Feb. 28, 20192/28/19 | 0 | 0.025 |
Jan. 16, 20191/16/19 | Jan. 24, 20191/24/19 | Jan. 25, 20191/25/19 | Jan. 31, 20191/31/19 | 0 | 0.025 |
Hedged Com Unit USD/First Asset Investment Grade Bond ETFCIGBF 2019 Total: | 0.295 |
Nov. 19, 2024CIGBF STOCK PRICE 52 WEEK HIGH: Hedged Com Unit USD/First Asset Investment Grade Bond ETF on 11-19-2024 hit a 52 week high of $9.11
Read more...Jul. 10, 2024CIGBF STOCK PRICE 52 WEEK LOW: Hedged Com Unit USD/First Asset Investment Grade Bond ETF on 07-10-2024 hit a 52 week low of $8.80
Read more...May. 13, 2024DIVIDEND ANNOUNCEMENT: Hedged Com Unit USD/First Asset Investment Grade Bond ETF (OTCBB: CIGBF) on 05-13-2024 declared a dividend of $0.0248 per share
Read more...Dec. 14, 2024DIVIDEND RATE DECREASE: Com Shs Of Ben Int/Blackstone Long-Short Credit Income Fund (NYSE: BGX) on 12-14-2024 decreased dividend rate > 3% from $1.26 to $1.22
Read more...Dec. 14, 2024DIVIDEND RATE INCREASE: China Fund, Inc. (The) (NYSE: CHN) on 12-14-2024 increased dividend rate > 3% from $0.02 to $0.15
Read more...Dec. 14, 2024UNFYF STOCK PRICE DECREASE: Sub Vtg Shs/Edge Total Intelligence Inc on 12-14-2024 decreased stock price > 10% from $0.47 to $0.41
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