| Ex-Date | Pay Date | Amount | Change | 
|---|---|---|---|
| $0.225 | |||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.27 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.0225 | 0%  | ||
| $0.27 | 0%  | ||
| $0.27 | 0%  | ||
| $0.27 | 0%  | ||
| $0.27 | 0%  | ||
| $0.27 | 1.12%  | ||
| $0.267 | 1.14%  | ||
| $0.264 | 0%  | ||
| $0.264 | -0.08%  | ||
| $0.2642 | -4.28%  | ||
Credit Suisse Asset Management Income Fund, Inc pays a dividend yield (FWD) of 9.36%.
- ISIN
 - WKN
 - Symbol / Exchange
 - / XNYS
 - Value
 - €2.50
 - Dividend frequency
 - monthly
 - Security Type
 - Equity
 - Dividend Currency
 - US Dollar
 - Earnings Date
 
- 1 Country
 United States
100.00%
- 2 Sectors
 Communication Services
78.70%Consumer Discretionary
21.30%

