Federated Hermes Premier Municipal Income Fund (NYSE:FMN) Dividend History

Click to see Federated Hermes Premier Municipal Income Fund Dividend Data, Dates and more financial information, or here to see FMN Projected 10 Year Dividend Yield.

Federated Hermes Premier Municipal Income Fund (NYSE:FMN) Dividend Information
 
Federated Hermes Premier Municipal Income Fund (NYSE:FMN) Dividend History
Federated Hermes Premier Municipal Income FundFMN 2025 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Apr. 10, 20254/10/25 Apr. 23, 20254/23/25 Apr. 23, 20254/23/25 May. 01, 20255/1/25 M 0.040
Mar. 10, 20253/10/25 Mar. 21, 20253/21/25 Mar. 21, 20253/21/25 Apr. 01, 20254/1/25 M 0.040
Feb. 10, 20252/10/25 Feb. 21, 20252/21/25 Feb. 21, 20252/21/25 Mar. 03, 20253/3/25 M 0.040
Jan. 10, 20251/10/25 Jan. 23, 20251/23/25 Jan. 23, 20251/23/25 Feb. 03, 20252/3/25 M 0.040
Dec. 10, 202412/10/24 Dec. 23, 202412/23/24 Dec. 23, 202412/23/24 Jan. 02, 20251/2/25 M 0.040
Federated Hermes Premier Municipal Income FundFMN 2025 Total: 0.200
Federated Hermes Premier Municipal Income FundFMN 2024 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Nov. 11, 202411/11/24 Nov. 22, 202411/22/24 Nov. 22, 202411/22/24 Dec. 02, 202412/2/24 M 0.038
Oct. 10, 202410/10/24 Oct. 23, 202410/23/24 Oct. 23, 202410/23/24 Nov. 01, 202411/1/24 M 0.038
Sep. 10, 20249/10/24 Sep. 23, 20249/23/24 Sep. 23, 20249/23/24 Oct. 01, 202410/1/24 M 0.038
Aug. 12, 20248/12/24 Aug. 23, 20248/23/24 Aug. 23, 20248/23/24 Sep. 03, 20249/3/24 M 0.038
Jul. 10, 20247/10/24 Jul. 23, 20247/23/24 Jul. 23, 20247/23/24 Aug. 01, 20248/1/24 M 0.038
Jun. 10, 20246/10/24 Jun. 21, 20246/21/24 Jun. 21, 20246/21/24 Jul. 01, 20247/1/24 M 0.038
May. 10, 20245/10/24 May. 22, 20245/22/24 May. 23, 20245/23/24 Jun. 03, 20246/3/24 M 0.035
Apr. 10, 20244/10/24 Apr. 22, 20244/22/24 Apr. 23, 20244/23/24 May. 01, 20245/1/24 M 0.035
Mar. 11, 20243/11/24 Mar. 21, 20243/21/24 Mar. 22, 20243/22/24 Apr. 01, 20244/1/24 M 0.035
Feb. 12, 20242/12/24 Feb. 22, 20242/22/24 Feb. 23, 20242/23/24 Mar. 01, 20243/1/24 M 0.035
Jan. 10, 20241/10/24 Jan. 22, 20241/22/24 Jan. 23, 20241/23/24 Feb. 01, 20242/1/24 M 0.035
Dec. 11, 202312/11/23 Dec. 21, 202312/21/23 Dec. 22, 202312/22/23 Jan. 02, 20241/2/24 M 0.035
Federated Hermes Premier Municipal Income FundFMN 2024 Total: 0.438
Federated Hermes Premier Municipal Income FundFMN 2023 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Nov. 10, 202311/10/23 Nov. 21, 202311/21/23 Nov. 22, 202311/22/23 Dec. 01, 202312/1/23 M 0.035
Oct. 10, 202310/10/23 Oct. 20, 202310/20/23 Oct. 23, 202310/23/23 Nov. 01, 202311/1/23 M 0.035
Sep. 11, 20239/11/23 Sep. 21, 20239/21/23 Sep. 22, 20239/22/23 Oct. 02, 202310/2/23 M 0.035
Aug. 10, 20238/10/23 Aug. 22, 20238/22/23 Aug. 23, 20238/23/23 Sep. 01, 20239/1/23 M 0.035
Jul. 10, 20237/10/23 Jul. 20, 20237/20/23 Jul. 21, 20237/21/23 Aug. 01, 20238/1/23 M 0.035
Jun. 12, 20236/12/23 Jun. 22, 20236/22/23 Jun. 23, 20236/23/23 Jul. 03, 20237/3/23 M 0.035
May. 10, 20235/10/23 May. 22, 20235/22/23 May. 23, 20235/23/23 Jun. 01, 20236/1/23 M 0.039
Apr. 10, 20234/10/23 Apr. 20, 20234/20/23 Apr. 21, 20234/21/23 May. 01, 20235/1/23 M 0.039
Mar. 10, 20233/10/23 Mar. 22, 20233/22/23 Mar. 23, 20233/23/23 Apr. 03, 20234/3/23 M 0.039
Feb. 10, 20232/10/23 Feb. 22, 20232/22/23 Feb. 23, 20232/23/23 Mar. 01, 20233/1/23 M 0.041
Jan. 10, 20231/10/23 Jan. 20, 20231/20/23 Jan. 23, 20231/23/23 Feb. 01, 20232/1/23 M 0.041
Dec. 12, 202212/12/22 Dec. 22, 202212/22/22 Dec. 23, 202212/23/22 Jan. 03, 20231/3/23 M 0.041
Federated Hermes Premier Municipal Income FundFMN 2023 Total: 0.449

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Federated Hermes Premier Municipal Income FundFMN 2022 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Nov. 10, 202211/10/22 Nov. 22, 202211/22/22 Nov. 23, 202211/23/22 Dec. 01, 202212/1/22 M 0.041
Oct. 10, 202210/10/22 Oct. 20, 202210/20/22 Oct. 21, 202210/21/22 Nov. 01, 202211/1/22 M 0.041
Sep. 12, 20229/12/22 Sep. 22, 20229/22/22 Sep. 23, 20229/23/22 Oct. 03, 202210/3/22 M 0.041
Aug. 10, 20228/10/22 Aug. 22, 20228/22/22 Aug. 23, 20228/23/22 Sep. 01, 20229/1/22 M 0.041
Jul. 11, 20227/11/22 Jul. 21, 20227/21/22 Jul. 22, 20227/22/22 Aug. 01, 20228/1/22 M 0.041
Jun. 09, 20226/9/22 Jun. 22, 20226/22/22 Jun. 23, 20226/23/22 Jul. 01, 20227/1/22 M 0.041
May. 10, 20225/10/22 May. 20, 20225/20/22 May. 23, 20225/23/22 Jun. 01, 20226/1/22 M 0.054
Apr. 11, 20224/11/22 Apr. 21, 20224/21/22 Apr. 22, 20224/22/22 May. 02, 20225/2/22 M 0.054
Mar. 10, 20223/10/22 Mar. 22, 20223/22/22 Mar. 23, 20223/23/22 Apr. 01, 20224/1/22 M 0.054
Feb. 10, 20222/10/22 Feb. 22, 20222/22/22 Feb. 23, 20222/23/22 Mar. 01, 20223/1/22 M 0.054
Jan. 10, 20221/10/22 Jan. 20, 20221/20/22 Jan. 21, 20221/21/22 Feb. 01, 20222/1/22 M 0.054
Dec. 10, 202112/10/21 Dec. 22, 202112/22/21 Dec. 23, 202112/23/21 Jan. 03, 20221/3/22 M 0.054
Federated Hermes Premier Municipal Income FundFMN 2022 Total: 0.570
Federated Hermes Premier Municipal Income FundFMN 2021 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Nov. 10, 202111/10/21 Nov. 22, 202111/22/21 Nov. 23, 202111/23/21 Dec. 01, 202112/1/21 M 0.054
Oct. 11, 202110/11/21 Oct. 21, 202110/21/21 Oct. 22, 202110/22/21 Nov. 01, 202111/1/21 M 0.054
Sep. 10, 20219/10/21 Sep. 22, 20219/22/21 Sep. 23, 20219/23/21 Oct. 01, 202110/1/21 M 0.054
Aug. 10, 20218/10/21 Aug. 20, 20218/20/21 Aug. 23, 20218/23/21 Sep. 01, 20219/1/21 M 0.054
Jul. 12, 20217/12/21 Jul. 22, 20217/22/21 Jul. 23, 20217/23/21 Aug. 02, 20218/2/21 M 0.054
Jun. 10, 20216/10/21 Jun. 22, 20216/22/21 Jun. 23, 20216/23/21 Jul. 01, 20217/1/21 M 0.054
May. 10, 20215/10/21 May. 20, 20215/20/21 May. 21, 20215/21/21 Jun. 01, 20216/1/21 M 0.054
Apr. 12, 20214/12/21 Apr. 22, 20214/22/21 Apr. 23, 20214/23/21 May. 03, 20215/3/21 M 0.054
Mar. 10, 20213/10/21 Mar. 22, 20213/22/21 Mar. 23, 20213/23/21 Apr. 01, 20214/1/21 M 0.054
Feb. 10, 20212/10/21 Feb. 22, 20212/22/21 Feb. 23, 20212/23/21 Mar. 01, 20213/1/21 M 0.054
Jan. 11, 20211/11/21 Jan. 21, 20211/21/21 Jan. 22, 20211/22/21 Feb. 01, 20212/1/21 M 0.054
Dec. 10, 202012/10/20 Dec. 22, 202012/22/20 Dec. 23, 202012/23/20 Jan. 04, 20211/4/21 M 0.054
Federated Hermes Premier Municipal Income FundFMN 2021 Total: 0.648
Federated Hermes Premier Municipal Income FundFMN 2020 Dividends
Decl Date Ex Date Rec Date Pay Date Type AmountAmt $
Nov. 10, 202011/10/20 Nov. 20, 202011/20/20 Nov. 23, 202011/23/20 Dec. 01, 202012/1/20 M 0.054
Oct. 12, 202010/12/20 Oct. 22, 202010/22/20 Oct. 23, 202010/23/20 Nov. 02, 202011/2/20 M 0.054
Sep. 10, 20209/10/20 Sep. 22, 20209/22/20 Sep. 23, 20209/23/20 Oct. 01, 202010/1/20 M 0.054
Aug. 10, 20208/10/20 Aug. 20, 20208/20/20 Aug. 21, 20208/21/20 Sep. 01, 20209/1/20 M 0.050
Jul. 10, 20207/10/20 Jul. 22, 20207/22/20 Jul. 23, 20207/23/20 Aug. 03, 20208/3/20 M 0.050
Jun. 10, 20206/10/20 Jun. 22, 20206/22/20 Jun. 23, 20206/23/20 Jul. 01, 20207/1/20 M 0.050
May. 11, 20205/11/20 May. 21, 20205/21/20 May. 22, 20205/22/20 Jun. 01, 20206/1/20 M 0.050
Apr. 13, 20204/13/20 Apr. 22, 20204/22/20 Apr. 23, 20204/23/20 May. 01, 20205/1/20 M 0.050
Mar. 10, 20203/10/20 Mar. 20, 20203/20/20 Mar. 23, 20203/23/20 Apr. 01, 20204/1/20 M 0.050
Feb. 10, 20202/10/20 Feb. 20, 20202/20/20 Feb. 21, 20202/21/20 Mar. 02, 20203/2/20 M 0.050
Jan. 10, 20201/10/20 Jan. 22, 20201/22/20 Jan. 23, 20201/23/20 Feb. 03, 20202/3/20 M 0.050
Dec. 10, 201912/10/19 Dec. 20, 201912/20/19 Dec. 23, 201912/23/19 Jan. 02, 20201/2/20 M 0.050
Federated Hermes Premier Municipal Income FundFMN 2020 Total: 0.612
Federated Hermes Premier Municipal Income Fund Dividend Stock News and Updates

Apr. 10, 2025DIVIDEND ANNOUNCEMENT: Federated Hermes Premier Municipal Income Fund (NYSE: FMN) on 04-10-2025 declared a dividend of $0.0400 per share

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Apr. 09, 2025FMN STOCK PRICE 52 WEEK LOW: Federated Hermes Premier Municipal Income Fund on 04-09-2025 hit a 52 week low of $10.39

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Mar. 28, 2025FMN STOCK PRICE 52 WEEK LOW: Federated Hermes Premier Municipal Income Fund on 03-28-2025 hit a 52 week low of $10.77

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Holding and other Investment Offices Dividend Stock News and Updates

Apr. 10, 2025DIVIDEND ANNOUNCEMENT: Shs Ben Int/FS Global Credit Opportunities Fund (NYSE: FSCO) on 04-10-2025 declared a dividend of $0.0645 per share

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Apr. 10, 2025DIVIDEND ANNOUNCEMENT: CBRE Global Real Estate Income Fund (NYSE: IGR) on 04-10-2025 declared a dividend of $0.0600 per share

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Apr. 10, 2025DIVIDEND RATE DECREASE: Com Sh Ben Int/Abrdn Total Dynamic Dividend Fund (NYSE: AOD) on 04-10-2025 decreased dividend rate > 3% from $1.20 to $1.08

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