Brookfield Global Listed Infrastructure Income Fund Closed End Fund

Symbol: INF     Sector: Financial Services     Industry: Asset Management

Dividend Yield
7.43%
Current Price
$13.19



Dividend Growth

Ex-Dividend Rates




Dividend Rates Growth

YearRegularGrowthPriceYieldSpecialYield
20190.9804------
20180.9804-0.0700-6.66%$ 9.48  -  13.637.19  -  10.34 %--
20171.0504-0.3500-24.99%$ 12.53  -  14.207.40  -  8.38 %--
20161.4004--$ 8.48  -  13.9410.05  -  16.52 %--
20151.4004--$ 10.80  -  22.506.22  -  12.97 %--
20141.4004--$ 18.96  -  25.505.49  -  7.39 %--

Ex-Dividend Dates

Ex-Div DateDividendGrowthTypeYieldPrice
2019-06-11$0.0817-Regular7.43 %-
2018-11-13$0.0817-Regular8.34 %  -  8.59 %$11.41  -  $11.76
2018-10-16$0.0817-Regular8.18 %  -  8.35 %$11.74  -  $11.98
2018-09-18$0.0817-Regular7.94 %  -  8.02 %$12.22  -  $12.34
2018-08-14$0.0817-Regular7.69 %  -  7.76 %$12.64  -  $12.75
2018-07-17$0.0817-Regular7.94 %  -  8.00 %$12.26  -  $12.35
2018-06-12$0.0817-Regular7.91 %  -  8.00 %$12.25  -  $12.39
2018-05-15$0.0817-Regular7.86 %  -  7.96 %$12.32  -  $12.48
2018-04-17$0.0817-Regular7.95 %  -  8.09 %$12.12  -  $12.33
2018-03-13$0.0817-Regular7.98 %  -  8.10 %$12.10  -  $12.28
2018-02-13$0.0817-Regular8.01 %  -  8.15 %$12.03  -  $12.24
2018-01-16$0.0817-Regular$13.26  -  $13.38
2017-12-19$0.0817-Regular7.47 %  -  7.58 %$12.94  -  $13.12
2017-11-14$0.0817-Regular7.55 %  -  7.65 %$12.81  -  $12.98
2017-10-17$0.0817-Regular7.35 %  -  7.43 %$13.20  -  $13.33
2017-09-19$0.0817-Regular7.15 %  -  7.19 %$13.64  -  $13.71
2017-08-15$0.0817-Regular7.30 %  -  7.41 %$13.23  -  $13.43
2017-07-18$0.0817-Regular7.13 %  -  7.19 %$13.63  -  $13.76
2017-06-13$0.0817-Regular7.07 %  -  7.14 %$13.74  -  $13.87
2017-05-16$0.0817-Regular7.01 %  -  7.07 %$13.87  -  $13.99
2017-04-18$0.0817-Regular7.29 %  -  7.34 %$13.35  -  $13.45
2017-03-14$0.0817-0.0350Regular7.64 %  -  7.79 %$12.59  -  $12.84
2017-02-14$0.1167-Regular10.02 %  -  10.34 %$13.55  -  $13.97
2017-01-17$0.1167-Regular10.53 %  -  10.63 %$13.17  -  $13.30
2016-12-13$0.1167-Regular11.37 %  -  11.46 %$12.22  -  $12.32
2016-11-15$0.1167-Regular11.90 %  -  12.08 %$11.59  -  $11.77
2016-10-18$0.1167-Regular11.04 %  -  11.19 %$12.51  -  $12.69
2016-09-20$0.1167-Regular10.53 %  -  10.78 %$12.99  -  $13.30
2016-08-16$0.1167-Regular10.18 %  -  10.31 %$13.58  -  $13.75
2016-07-19$0.1167-Regular10.27 %  -  10.42 %$13.44  -  $13.63
2016-06-14$0.1167-Regular11.18 %  -  11.30 %$12.39  -  $12.53
2016-05-17$0.1167-Regular11.33 %  -  11.64 %$12.03  -  $12.36
2016-04-12$0.1167-Regular12.17 %  -  12.44 %$11.26  -  $11.51
2016-03-15$0.1167-Regular13.05 %  -  13.22 %$10.59  -  $10.73
2016-02-16$0.1167-Regular14.99 %  -  15.21 %$9.21  -  $9.34
2016-01-19$0.1167-Regular14.50 %  -  15.17 %$9.23  -  $9.66