North American Income Trust PLC Informations sur les dividendes
North American Income Trust PLC a un dividende annuel de 0.1205 par action, avec un rendement de 0.00%. Le dividende est payé trimestriellement et la dernière date d'ex-dividende était le Dec 29, 2025.
Rendement en dividend
Dividende annuel
Date ex-dividende
0.00%
$0.1205
Dec 29, 2025
Fréquence des paiements
Taux de distribution
Trimestriellement
0.00%
Historique des dividendes
Date ex-dividende
Montant en espèces
Date de registre
Date de paiement
Dec 29, 2025
$0.028
Dec 30, 2025
Jan 30, 2026
Oct 2, 2025
$0.028
Oct 3, 2025
Oct 31, 2025
Jun 26, 2025
$0.028
Jun 27, 2025
Jul 31, 2025
Apr 17, 2025
$0.041
Apr 22, 2025
May 7, 2025
Jan 2, 2025
$0.027
Jan 3, 2025
Jan 31, 2025
Oct 10, 2024
$0.027
Oct 11, 2024
Oct 31, 2024
Graphiques des dividendes
NRMRF Dividendes
NRMRF Croissance des dividendes (variation annuelle)
Follow-Up Questions
Quel est le dividende actuel payé par North American Income Trust PLC et son dividende annuel ?
Quel est le ratio de distribution de dividendes de North American Income Trust PLC ?
Quelle est la date ex-dividende pour NRMRF ?
À quelle fréquence North American Income Trust PLC verse-t-elle des dividendes ?
Statistiques clés
Clôture préc.
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Prix d'ouverture
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Plage de la journée
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Plage de 52 semaines
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Volume
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Volume moyen
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BPA (TTM)
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Rendement en dividend
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Capitalisation boursière
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Qu’est-ce que NRMRF ?
North American Income Trust PLC is a GB-based company operating in industry. The North American Income Trust plc is a United Kingdom-based investment trust. The firm seeks above-average dividend income and long-term capital growth, by investing in a portfolio of predominantly S&P 500 United States companies. The firm may also invest in Canadian stocks and United States mid-and-small capitalization companies to provide diversified sources of income. The firm may invest up to 20% of its gross assets in fixed-income investments, which may include non-investment-grade debt. The Company’s investment policy enables it to invest in all types of securities, including (but not limited to) equities, preference shares, debt, convertible securities, warrants, depositary receipts and other equity-related securities. The company may borrow up to an amount equal to 20% of its net assets. Janus Henderson Fund Management UK Limited is the alternative investment fund manager (AIFM) and investment manager of the Company.