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PAI Western Asset Investment Grade Income Fund Inc

12.03
0.00 (0.00%)
Apr 19 2024 - Closed
Delayed by 15 minutes

Dividends

Announcement Date Type Currency Amount Ex-Dividend Date Record Date Payment
2/19/2024 Dividend income or Cash Dividend USD 0.049 5/21/2024 5/22/2024 6/02/2024
2/19/2024 Dividend income or Cash Dividend USD 0.049 4/21/2024 4/22/2024 4/30/2024
2/19/2024 Dividend income or Cash Dividend USD 0.049 3/19/2024 3/20/2024 3/31/2024
11/20/2023 Dividend income or Cash Dividend USD 0.0485 2/20/2024 2/21/2024 2/29/2024
11/20/2023 Dividend income or Cash Dividend USD 0.0485 1/22/2024 1/23/2024 1/31/2024
11/20/2023 Dividend income or Cash Dividend USD 0.0485 12/19/2023 12/20/2023 12/28/2023
9/18/2023 Dividend income or Cash Dividend USD 0.0475 11/20/2023 11/21/2023 11/30/2023
9/18/2023 Dividend income or Cash Dividend USD 0.0475 10/22/2023 10/23/2023 10/31/2023
5/16/2023 Dividend income or Cash Dividend USD 0.0465 9/20/2023 9/21/2023 10/01/2023
5/16/2023 Dividend income or Cash Dividend USD 0.0465 8/22/2023 8/23/2023 8/31/2023
5/16/2023 Dividend income or Cash Dividend USD 0.0465 7/20/2023 7/23/2023 7/31/2023
5/16/2023 Dividend income or Cash Dividend USD 0.0465 6/21/2023 6/22/2023 7/02/2023
2/13/2023 Dividend income or Cash Dividend USD 0.0465 5/21/2023 5/22/2023 5/31/2023
2/13/2023 Dividend income or Cash Dividend USD 0.0465 4/19/2023 4/20/2023 4/30/2023
2/13/2023 Dividend income or Cash Dividend USD 0.0465 3/22/2023 3/23/2023 4/02/2023
11/27/2022 Dividend income or Cash Dividend USD 0.0465 2/16/2023 2/20/2023 2/28/2023
11/27/2022 Dividend income or Cash Dividend USD 0.0465 1/22/2023 1/23/2023 1/31/2023
11/27/2022 Dividend income or Cash Dividend USD 0.0465 12/20/2022 12/21/2022 12/29/2022
9/26/2022 Dividend income or Cash Dividend USD 0.0465 11/20/2022 11/21/2022 11/30/2022
9/26/2022 Dividend income or Cash Dividend USD 0.0465 10/20/2022 10/23/2022 10/31/2022
5/16/2022 Dividend income or Cash Dividend USD 0.0465 9/21/2022 9/22/2022 10/02/2022
5/16/2022 Dividend income or Cash Dividend USD 0.0465 8/22/2022 8/23/2022 8/31/2022
5/16/2022 Dividend income or Cash Dividend USD 0.0465 7/20/2022 7/21/2022 7/31/2022
5/16/2022 Dividend income or Cash Dividend USD 0.0465 6/21/2022 6/22/2022 6/30/2022
2/15/2022 Dividend income or Cash Dividend USD 0.0465 5/19/2022 5/22/2022 5/31/2022
2/15/2022 Dividend income or Cash Dividend USD 0.0465 4/20/2022 4/21/2022 5/01/2022
2/15/2022 Dividend income or Cash Dividend USD 0.0465 3/22/2022 3/23/2022 3/31/2022
11/23/2021 Dividend income or Cash Dividend USD 0.0465 2/16/2022 2/17/2022 2/28/2022
11/23/2021 Dividend income or Cash Dividend USD 0.0465 1/20/2022 1/23/2022 1/31/2022
11/23/2021 Dividend income or Cash Dividend USD 0.0465 12/21/2021 12/22/2021 12/30/2021
9/26/2021 Dividend income or Cash Dividend USD 0.0465 11/18/2021 11/21/2021 11/30/2021
9/26/2021 Dividend income or Cash Dividend USD 0.0465 10/20/2021 10/21/2021 10/31/2021
5/25/2021 Dividend income or Cash Dividend USD 0.0465 9/21/2021 9/22/2021 9/30/2021
5/25/2021 Dividend income or Cash Dividend USD 0.0465 8/22/2021 8/23/2021 8/31/2021
5/25/2021 Dividend income or Cash Dividend USD 0.0465 7/21/2021 7/22/2021 8/01/2021
5/25/2021 Dividend income or Cash Dividend USD 0.0465 6/21/2021 6/22/2021 6/30/2021
2/16/2021 Dividend income or Cash Dividend USD 0.0465 5/19/2021 5/20/2021 5/31/2021
2/16/2021 Dividend income or Cash Dividend USD 0.0465 4/21/2021 4/22/2021 5/02/2021
2/16/2021 Dividend income or Cash Dividend USD 0.0465 3/22/2021 3/23/2021 3/31/2021
11/24/2020 Dividend income or Cash Dividend USD 0.0465 2/17/2021 2/18/2021 2/28/2021
11/24/2020 Dividend income or Cash Dividend USD 0.0465 1/20/2021 1/21/2021 1/31/2021
11/24/2020 Dividend income or Cash Dividend USD 0.0465 12/21/2020 12/22/2020 12/30/2020
9/15/2020 Dividend income or Cash Dividend USD 0.0465 11/18/2020 11/19/2020 11/30/2020
9/15/2020 Dividend income or Cash Dividend USD 0.0465 10/21/2020 10/22/2020 11/01/2020
5/18/2020 Dividend income or Cash Dividend USD 0.05 9/21/2020 9/22/2020 9/30/2020
5/18/2020 Dividend income or Cash Dividend USD 0.05 8/20/2020 8/23/2020 8/31/2020
5/18/2020 Dividend income or Cash Dividend USD 0.05 7/22/2020 7/23/2020 8/02/2020
5/18/2020 Dividend income or Cash Dividend USD 0.05 6/21/2020 6/22/2020 6/30/2020
2/18/2020 Dividend income or Cash Dividend USD 0.0525 5/19/2020 5/20/2020 5/31/2020
2/18/2020 Dividend income or Cash Dividend USD 0.0525 4/21/2020 4/22/2020 4/30/2020
2/18/2020 Dividend income or Cash Dividend USD 0.0525 3/22/2020 3/23/2020 3/31/2020
11/24/2019 Dividend income or Cash Dividend USD 0.055 2/19/2020 2/20/2020 3/01/2020
11/24/2019 Dividend income or Cash Dividend USD 0.055 1/22/2020 1/23/2020 2/02/2020
11/24/2019 Dividend income or Cash Dividend USD 0.055 12/18/2019 12/19/2019 12/30/2019
9/17/2019 Dividend income or Cash Dividend USD 0.0575 11/20/2019 11/21/2019 12/01/2019
9/17/2019 Dividend income or Cash Dividend USD 0.0575 10/16/2019 10/17/2019 10/31/2019
6/06/2019 Dividend income or Cash Dividend USD 0.0575 9/18/2019 9/19/2019 9/30/2019
6/06/2019 Dividend income or Cash Dividend USD 0.0575 8/21/2019 8/22/2019 9/02/2019
6/06/2019 Dividend income or Cash Dividend USD 0.0575 7/17/2019 7/18/2019 7/31/2019
6/06/2019 Dividend income or Cash Dividend USD 0.0575 6/19/2019 6/20/2019 6/30/2019
2/27/2019 Dividend income or Cash Dividend USD 0.0575 5/22/2019 5/23/2019 6/02/2019
Dividends data is taken only from official company reports.

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