USX:FPRAX - Phaeacian Global Value Fund Institutional Class Shares FPA PARAMOUNT FUND, INC. FPA P
Sector: Unknown, Industry: Unknown
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Summary


ExDate Payable Date Type Amount (%)
23 May 2022 23 May 2022 CASH USD 2.26558 (8.27%)
17 Dec 2021 17 Dec 2021 CASH USD 4.2979 (15.69%)
18 Dec 2020 18 Dec 2020 CASH USD 0.19602 (0.79%)
18 Dec 2019 18 Dec 2019 CASH USD 0.0716 (0.31%)
18 Dec 2018 19 Dec 2018 CASH USD 0.0974 (0.48%)
19 Dec 2017 20 Dec 2017 CASH USD 0.0035 (0.02%)
20 Dec 2016 21 Dec 2016 CASH USD 0.0077 (0.04%)
21 Dec 2015 22 Dec 2015 CASH USD 0.0037 (0.02%)
22 Dec 2014 23 Dec 2014 CASH USD 0.0346 (0.20%)
8 Jan 2014 9 Jan 2014 CASH USD 0.22 (0.95%)
18 Dec 2013 19 Dec 2013 CASH USD 0.1501 (0.57%)
2 Jan 2013 3 Jan 2013 CASH USD 0.0018 (0.01%)
13 Dec 2010 17 Dec 2010 CASH USD 0.0027 (0.01%)
15 Dec 2008 19 Dec 2008 CASH USD 0.0029 (0.03%)
17 Dec 2007 21 Dec 2007 CASH USD 0.0004 (0.0%)
2 Jul 2007 6 Jul 2007 CASH USD 0.0044 (0.02%)
18 Dec 2006 22 Dec 2006 CASH USD 0.0031 (0.02%)
3 Jul 2006 7 Jul 2006 CASH USD 0.0031 (0.02%)
16 Dec 2005 23 Dec 2005 CASH USD 0.0022 (0.01%)
1 Oct 2002 21 Oct 2002* CASH USD 0.14 (1.72%)
1 Jul 2002 21 Jul 2002* CASH USD 0.13 (1.38%)
18 Dec 2001 27 Dec 2001 CASH USD 0.0005 (0.01%)
2 Jul 2001 9 Jul 2001 CASH USD 0.0009 (0.01%)
19 Dec 2000 28 Dec 2000 CASH USD 0.0049 (0.06%)
3 Jul 2000 10 Jul 2000 CASH USD 0.0027 (0.04%)
22 Dec 1999 29 Dec 1999 CASH USD 0.0013 (0.01%)
1 Jul 1999 8 Jul 1999 CASH USD 0.0018 (0.02%)
23 Dec 1998 29 Dec 1998 CASH USD 0.0018 (0.02%)
1 Jul 1998 8 Jul 1998 CASH USD 0.0027 (0.02%)
2 Jan 1998 7 Jan 1998 CASH USD 0.0903 (0.64%)
1 Jul 1997 15 Jul 1997 CASH USD 0.0058 (0.04%)
2 Jan 1997 6 Jan 1997 CASH USD 0.1351 (0.77%)
1 Jul 1996 21 Jul 1996* CASH USD 0.15 (0.91%)
2 Jan 1996 8 Jan 1996 CASH USD 0.0456 (0.31%)
3 Jul 1995 14 Jul 1995 CASH USD 0.008 (0.06%)
3 Jan 1995 9 Jan 1995 CASH USD 0.0495 (0.34%)
1 Jul 1994 15 Jul 1994 CASH USD 0.0058 (0.04%)
3 Jan 1994 7 Jan 1994 CASH USD 0.0726 (0.49%)
1 Jul 1993 15 Jul 1993 CASH USD 0.0058 (0.04%)
4 Jan 1993 8 Jan 1993 CASH USD 0.0487 (0.36%)
1 Jul 1992 15 Jul 1992 CASH USD 0.0071 (0.05%)
2 Jan 1992 10 Jan 1992 CASH USD 0.0748 (0.53%)
1 Jul 1991 15 Jul 1991 CASH USD 0.008 (0.06%)
2 Jan 1991 11 Jan 1991 CASH USD 0.0464 (0.37%)
2 Jul 1990 13 Jul 1990 CASH USD 0.0106 (0.08%)
2 Jan 1990 12 Jan 1990 CASH USD 0.092 (0.62%)
3 Jul 1989 14 Jul 1989 CASH USD 0.0084 (0.06%)
3 Jan 1989 13 Jan 1989 CASH USD 0.0766 (0.55%)
1 Jul 1988 21 Jul 1988* CASH USD 0.12 (0.84%)
4 Jan 1988 24 Jan 1988* CASH USD 0.22 (1.53%)
19 Jun 1987 9 Jul 1987* CASH USD 0.19 (1.20%)
2 Jan 1987 22 Jan 1987* CASH USD 0.15 (1.21%)
26 Jun 1986 16 Jul 1986* CASH USD 0.53 (3.85%)
31 Dec 1985 20 Jan 1986* CASH USD 0.25 (1.67%)
24 Jun 1985 14 Jul 1985* CASH USD 0.54 (3.79%)
31 Dec 1984 20 Jan 1985* CASH USD 0.21 (1.52%)
25 Jun 1984 15 Jul 1984* CASH USD 0.4 (3.24%)
30 Dec 1983 19 Jan 1984* CASH USD 0.12 (0.83%)
30 Jun 1983 20 Jul 1983* CASH USD 0.14 (1.03%)
31 Dec 1982 20 Jan 1983* CASH USD 0.06 (0.50%)
2 Jul 1982 22 Jul 1982* CASH USD 0.21 (2.45%)
18 Dec 1981 7 Jan 1982* CASH USD 0.12 (1.43%)
29 Jun 1981 19 Jul 1981* CASH USD 0.13 (1.31%)
31 Dec 1980 20 Jan 1981* CASH USD 0.16 (1.50%)
30 Jun 1980 20 Jul 1980* CASH USD 0.18 (1.89%)
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate

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