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Reminder - American Income Fund Incorporated (MRF) Goes Ex-Dividend Soon
Wednesday, January 30, 10:28 AM ET, by Market News Video Staff

On 2/1/13, American Income Fund Incorporated (MRF) will trade ex-dividend, for its monthly dividend of ...

MRF Ex-Dividend Reminder - 5/1/13
Monday, April 29, 11:24 AM ET, by Market News Video Staff

On 5/1/13, American Income Fund (MRF) will trade ex-dividend, for its monthly dividend of $0.0475, ...

American Income Fund About To Put More Money In Your Pocket (MRF)
Thursday, May 30, 10:27 AM ET, by Market News Video Staff

On 6/3/13, American Income Fund (MRF) will trade ex-dividend, for its monthly dividend of $0.044, ...

Ex-Div Reminder for American Income Fund (MRF)
Friday, June 28, 10:24 AM ET, by Market News Video Staff

On 7/1/13, American Income Fund (MRF) will trade ex-dividend, for its monthly dividend of $0.044, ...

Cash Dividend On The Way From American Income Fund (MRF)
Tuesday, July 30, 10:40 AM ET, by Market News Video Staff

On 8/1/13, American Income Fund (MRF) will trade ex-dividend, for its monthly dividend of $0.044, ...

  More articles:  1 2 3 next »

MRF Ex-Dividend Reminder - 8/1/12

By Dividend Channel Staff, Monday, July 30, 10:22 AM ET
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On 8/1/12, American Income Fund Incorporated (MRF) will trade ex-dividend, for its monthly dividend of $0.05, payable on 8/22/12. As a percentage of MRF's recent stock price of $8.03, this dividend works out to approximately 0.62%.

Below is a dividend history chart for MRF, showing historical dividends prior to the most recent $0.05 declared by American Income Fund Incorporated:

MRF Dividend History
Date Div*
07/02/12 0.050
06/01/12 0.050
05/01/12 0.050
04/02/12 0.050
03/01/12 0.050
02/01/12 0.053
12/28/11 0.053
12/01/11 0.053
11/01/11 0.053
10/03/11 0.053
09/01/11 0.053
08/01/11 0.053
07/01/11 0.053
06/01/11 0.053
05/02/11 0.053
04/01/11 0.053
03/01/11 0.053
02/01/11 0.053
12/28/10 0.058
12/01/10 0.058
11/01/10 0.060
10/01/10 0.060
09/01/10 0.063
08/02/10 0.063
07/01/10 0.063
06/01/10 0.063
05/03/10 0.063
04/01/10 0.063
03/02/10 0.063
02/02/10 0.063
12/28/09 0.063
12/01/09 0.063
11/02/09 0.063
10/01/09 0.060
09/02/09 0.060
08/03/09 0.060
07/01/09 0.058
06/01/09 0.055
05/01/09 0.055
05/01/09 0.055
04/01/09 0.053
03/02/09 0.053
02/02/09 0.053
12/26/08 0.049
12/01/08 0.049
11/03/08 0.049
10/01/08 0.048
09/02/08 0.048
08/01/08 0.046
07/01/08 0.046
06/02/08 0.046
05/01/08 0.043
04/01/08 0.043
03/03/08 0.043
02/01/08 0.043
12/26/07 0.043
12/03/07 0.043
11/01/07 0.043
10/01/07 0.043
09/04/07 0.043
08/01/07 0.043
07/02/07 0.043
06/01/07 0.043
05/01/07 0.043
04/02/07 0.043
03/01/07 0.043
02/01/07 0.043
12/26/06 0.043
12/01/06 0.043
11/01/06 0.043
10/02/06 0.045
09/01/06 0.045
08/01/06 0.045
07/03/06 0.045
06/01/06 0.045
05/01/06 0.043
04/03/06 0.043
03/01/06 0.043
02/01/06 0.043
12/22/05 0.043
12/01/05 0.043
11/01/05 0.043
10/03/05 0.043
09/01/05 0.043
08/01/05 0.043
07/01/05 0.043
06/01/05 0.045
05/02/05 0.045
04/01/05 0.048
03/01/05 0.048
02/01/05 0.050
12/23/04 0.072
12/01/04 0.050
11/01/04 0.050
10/01/04 0.050
09/01/04 0.050
08/02/04 0.053
07/01/04 0.053
06/01/04 0.053
05/03/04 0.053
04/01/04 0.053
03/01/04 0.055
02/02/04 0.055
12/26/03 0.055
12/01/03 0.055
11/03/03 0.055
10/01/03 0.055
09/02/03 0.055
08/01/03 0.055
07/01/03 0.055
06/02/03 0.058
05/01/03 0.058
04/01/03 0.058
03/03/03 0.058
02/03/03 0.058
12/26/02 0.058
12/02/02 0.058
11/01/02 0.058
10/01/02 0.058
09/03/02 0.058
08/01/02 0.058
07/01/02 0.058
06/03/02 0.058
05/01/02 0.058
04/01/02 0.058
03/01/02 0.058
01/31/02 0.058
12/26/01 0.058
12/03/01 0.058
11/01/01 0.055
10/01/01 0.055
09/04/01 0.055
08/01/01 0.055
07/02/01 0.055
06/01/01 0.055
05/01/01 0.055
04/02/01 0.055
03/01/01 0.055
02/01/01 0.055
12/13/00 0.060
11/13/00 0.060
10/12/00 0.060
09/13/00 0.060
08/11/00 0.060
07/12/00 0.060
06/13/00 0.060
05/11/00 0.060
04/12/00 0.060
03/13/00 0.060
02/11/00 0.060
01/12/00 0.060
12/13/99 0.060
11/10/99 0.060
10/13/99 0.060
09/13/99 0.060
08/12/99 0.060
07/13/99 0.061
06/11/99 0.060
05/13/99 0.060
04/13/99 0.060
03/11/99 0.060
02/11/99 0.060
01/13/99 0.060
12/11/98 0.060
11/12/98 0.060
10/13/98 0.060
09/11/98 0.060
08/13/98 0.060
07/13/98 0.060
06/11/98 0.060
05/13/98 0.060
04/13/98 0.060
03/12/98 0.070
02/11/98 0.070
01/13/98 0.070
12/11/97 0.070
11/13/97 0.070
10/10/97 0.070
09/11/97 0.070
08/13/97 0.070
07/11/97 0.070
06/12/97 0.070
05/13/97 0.070
04/11/97 0.070
03/13/97 0.070
02/13/97 0.070
01/13/97 0.070
12/12/96 0.070
11/13/96 0.070
10/10/96 0.070
09/12/96 0.070
08/13/96 0.070
07/11/96 0.070
06/12/96 0.070
05/13/96 0.070
04/11/96 0.070
03/13/96 0.070
02/13/96 0.070
01/10/96 0.070
12/13/95 0.070
11/13/95 0.070
10/12/95 0.070
09/13/95 0.070
08/11/95 0.070
* Data may be adjusted for splits; we are not responsible for data errors; always verify data with the company.

In general, dividends are not always predictable; but looking at the history above can help in judging whether the most recent dividend from MRF is likely to continue, and whether the current estimated yield of 7.47% on annualized basis is a reasonable expectation of annual yield going forward.


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In Monday trading, American Income Fund Incorporated shares are currently off about 0.2% on the day.


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