Brookfield Real Assets Income Fund Inc.

Symbol: RA     Sector: Financial Services     Industry: Asset Management

Dividend Yield
10.96%
Current Price
$21.80



Dividend Growth

Ex-Dividend Rates




Dividend Rates Growth

YearRegularGrowthPriceYieldSpecialYield
20192.3880------
20182.3880--$ 17.95  -  23.979.96  -  13.30 %--
20172.3880--$ 22.20  -  24.399.79  -  10.76 %--
2016No data avaiable

Ex-Dividend Dates

Ex-Div DateDividendGrowthTypeYieldPrice
2019-06-11$0.1990-Regular10.96 %-
2018-11-13$0.1990-Regular11.43 %  -  11.58 %$20.63  -  $20.90
2018-10-16$0.1990-Regular10.71 %  -  10.81 %$22.10  -  $22.29
2018-09-18$0.1990-Regular10.24 %  -  10.31 %$23.16  -  $23.31
2018-08-14$0.1990-Regular10.29 %  -  10.37 %$23.03  -  $23.20
2018-07-17$0.1990-Regular10.42 %  -  10.46 %$22.82  -  $22.91
2018-06-12$0.1990-Regular10.35 %  -  10.45 %$22.86  -  $23.08
2018-05-15$0.1990-Regular10.54 %  -  10.60 %$22.52  -  $22.65
2018-04-17$0.1990-Regular10.69 %  -  10.83 %$22.05  -  $22.34
2018-03-13$0.1990-Regular10.83 %  -  10.88 %$21.95  -  $22.06
2018-02-13$0.1990-Regular10.83 %  -  10.90 %$21.91  -  $22.05
2018-01-16$0.1990-Regular$23.72  -  $23.94
2017-12-19$0.1990-Regular10.27 %  -  10.35 %$23.07  -  $23.24
2017-11-14$0.1990-Regular10.08 %  -  10.17 %$23.47  -  $23.69
2017-10-17$0.1990-Regular9.88 %  -  9.95 %$24.01  -  $24.18
2017-09-19$0.1990-Regular10.08 %  -  10.14 %$23.56  -  $23.68
2017-08-15$0.1990-Regular10.06 %  -  10.14 %$23.55  -  $23.74
2017-07-18$0.1990-Regular10.14 %  -  10.18 %$23.46  -  $23.54
2017-06-13$0.1990-Regular10.10 %  -  10.15 %$23.52  -  $23.64
2017-05-16$0.1990-Regular10.24 %  -  10.32 %$23.15  -  $23.32
2017-04-18$0.1990-Regular10.25 %  -  10.34 %$23.09  -  $23.29
2017-03-14$0.1990-Regular10.44 %  -  10.50 %$22.75  -  $22.86
2017-02-14$0.1990-Regular10.30 %  -  10.36 %$23.05  -  $23.18
2017-01-17$0.1990-Regular10.56 %  -  10.61 %$22.51  -  $22.61
2016-12-13$0.1990-Regular10.84 %  -  10.93 %$21.84  -  $22.03