Credit Suisse Asset Management Income Fund, Inc. (CIK)
NYSEAMERICAN: CIK · Real-Time Price · USD
2.620
-0.020 (-0.76%)
Mar 6, 2026, 11:35 AM EST - Market open

CIK Dividend Information

CIK has an annual dividend of $0.27 per share, with a yield of 10.23%. The dividend is paid every month and the next ex-dividend date is Mar 16, 2026.

Dividend Yield
10.23%
Annual Dividend
$0.27
Ex-Dividend Date
Mar 16, 2026
Payout Frequency
Monthly
Payout Ratio
105.05%
Dividend Growth
-0.93%
Buyback Yield
-2.92%
Shareholder Yield
7.30%

Dividend History

Ex-Div Date AmountRecord DatePay Date
2026-03-16$0.0202026-03-162026-03-23
2026-02-17$0.02252026-02-172026-02-24
2026-01-16$0.02252026-01-162026-01-26
2025-12-15$0.02252025-12-152025-12-22
2025-11-17$0.02252025-11-172025-11-24
2025-10-15$0.02252025-10-152025-10-22
2025-09-16$0.02252025-09-162025-09-23
2025-08-15$0.02252025-08-152025-08-22
2025-07-16$0.02252025-07-162025-07-23
2025-06-16$0.02252025-06-162025-06-24
2025-05-15$0.02252025-05-152025-05-22
2025-04-15$0.02252025-04-152025-04-23
2025-03-17$0.02252025-03-172025-03-24
2025-02-18$0.02252025-02-182025-02-25
2025-01-16$0.02252025-01-162025-01-24
2024-12-17$0.02252024-12-172024-12-23
2024-11-18$0.02252024-11-182024-11-22
2024-10-16$0.02252024-10-162024-10-22
2024-09-18$0.02252024-09-182024-09-24
2024-08-16$0.02252024-08-162024-08-22
2024-07-17$0.02252024-07-172024-07-23
2024-06-18$0.02252024-06-182024-06-25
2024-05-15$0.02252024-05-162024-05-22
2024-04-15$0.02252024-04-162024-04-22
2024-03-15$0.02252024-03-182024-03-22
2024-02-15$0.02252024-02-162024-02-23
2024-01-17$0.02252024-01-182024-01-24
2023-12-15$0.02252023-12-182023-12-22
2023-11-16$0.02252023-11-172023-11-24
2023-10-17$0.02252023-10-182023-10-24
2023-09-18$0.02252023-09-192023-09-25
2023-08-15$0.02252023-08-162023-08-22
2023-07-18$0.02252023-07-192023-07-25
2023-06-15$0.02252023-06-162023-06-23
2023-05-15$0.02252023-05-162023-05-22
2023-04-18$0.02252023-04-192023-04-25
2023-03-15$0.02252023-03-162023-03-22
2023-02-15$0.02252023-02-162023-02-23
2023-01-18$0.02252023-01-192023-01-25
2022-12-15$0.02252022-12-162022-12-22
2022-11-16$0.02252022-11-172022-11-23
2022-10-18$0.02252022-10-192022-10-25
2022-09-16$0.02252022-09-192022-09-23
2022-08-15$0.02252022-08-162022-08-22
2022-07-18$0.02252022-07-192022-07-25
2022-06-15$0.02252022-06-162022-06-23
2022-05-16$0.02252022-05-172022-05-23
2022-04-18$0.02252022-04-192022-04-25
2022-03-15$0.02252022-03-162022-03-22
2022-02-15$0.02252022-02-162022-02-23
2022-01-18$0.02252022-01-192022-01-25
2021-12-15$0.02252021-12-162021-12-22
2021-11-15$0.02252021-11-162021-11-22
2021-10-18$0.02252021-10-192021-10-25
2021-09-16$0.02252021-09-172021-09-23
2021-08-16$0.02252021-08-172021-08-23
2021-07-16$0.02252021-07-192021-07-23
2021-06-15$0.02252021-06-162021-06-22
2021-05-17$0.02252021-05-182021-05-24
2021-04-16$0.02252021-04-192021-04-23
* Dividend amounts are adjusted for stock splits when applicable.

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