Delaware Enhanced Global Dividend and Income Closed Fund(DEX) USD 8.78
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.14%USD 0.1USD0.05092023-02-23
USD0.04892023-01-19
20227.71%USD 0.677USD0.0482022-12-21
USD0.04912022-11-17
USD0.05052022-10-20
USD0.05192022-09-22
USD0.05262022-08-18
USD0.05512022-07-21
USD0.05732022-06-16
USD0.05952022-05-19
USD0.06122022-04-21
USD0.06322022-03-17
USD0.06412022-02-17
USD0.06442022-01-20
20218.34%USD 0.732USD0.06482021-12-22
USD0.06522021-11-18
USD0.06572021-10-21
USD0.06592021-09-16
USD0.06112021-08-19
USD0.06072021-07-22
USD0.05982021-06-17
USD0.05912021-05-20
USD0.05862021-04-22
USD0.05822021-03-18
USD0.05722021-02-18
USD0.05562021-01-21
20208.88%USD 0.78USD0.05422020-12-17
USD0.05372020-11-19
USD0.05332020-10-22
USD0.05282020-09-17
USD0.05132020-08-20
USD0.04992020-07-16
USD0.04852020-06-18
USD0.07142020-05-21
USD0.07722020-04-16
USD0.08312020-03-19
USD0.09262020-02-20
USD0.09192020-01-23
201912.43%USD 1.091USD0.09162019-12-18
USD0.0912019-11-21
USD0.09152019-10-17
USD0.09142019-09-19
USD0.09162019-08-22
USD0.09172019-07-18
USD0.09182019-06-20
USD0.0922019-05-23
USD0.09042019-04-17
USD0.08862019-03-21
USD0.08872019-02-14
USD0.09072019-01-14
201812.86%USD 1.129USD0.09452018-12-13
USD0.09732018-11-15
USD0.09942018-10-11
USD0.10022018-09-13
USD0.10142018-08-16
USD0.10292018-07-12
USD0.10422018-06-14
USD0.10582018-05-10
USD0.10862018-04-12
USD0.10982018-03-15
USD0.05252018-02-08
USD0.05252018-01-11
20177.18%USD 0.63USD0.05252017-12-14
USD0.05252017-11-08
USD0.05252017-10-12
USD0.05252017-09-14
USD0.05252017-08-09
USD0.05252017-07-12
USD0.05252017-06-14
USD0.05252017-05-10
USD0.05252017-04-11
USD0.05252017-03-15
USD0.05252017-02-08
USD0.05252017-01-11
20169.23%USD 0.81USD0.05252016-12-14
USD0.05252016-11-08
USD0.05252016-10-12
USD0.05252016-09-14
USD0.0752016-08-10
USD0.0752016-07-13
USD0.0752016-06-08
USD0.0752016-05-11
USD0.0752016-04-13
USD0.0752016-03-09
USD0.0752016-02-11
USD0.0752016-01-13
201510.25%USD 0.9USD0.0752015-12-09
USD0.0752015-11-10
USD0.0752015-10-14
USD0.0752015-09-09
USD0.0752015-08-12
USD0.0752015-07-15
USD0.0752015-06-10
USD0.0752015-05-13
USD0.0752015-04-08
USD0.0752015-03-11
USD0.0752015-02-11
USD0.0752015-01-14
201410.25%USD 0.9USD0.0752014-12-10
USD0.0752014-11-12
USD0.0752014-10-15
USD0.0752014-09-10
USD0.0752014-08-13
USD0.0752014-07-09
USD0.0752014-06-11
USD0.0752014-05-14
USD0.0752014-04-09
USD0.0752014-03-12
USD0.0752014-02-12
USD0.0752014-01-15
201310.25%USD 0.9USD0.0752013-12-11
USD0.0752013-11-13
USD0.0752013-10-09
USD0.0752013-09-11
USD0.0752013-08-14
USD0.0752013-07-10
USD0.0752013-06-12
USD0.0752013-05-15
USD0.0752013-04-10
USD0.0752013-03-06
USD0.0752013-02-06
USD0.0752013-01-09
201212.76%USD 1.12USD0.0752012-12-12
USD0.0752012-11-14
USD0.0752012-10-10
USD0.0752012-09-12
USD0.10252012-08-15
USD0.10252012-07-11
USD0.10252012-06-13
USD0.10252012-05-09
USD0.10252012-04-11
USD0.10252012-03-14
USD0.10252012-02-08
USD0.10252012-01-11
201114.01%USD 1.23USD0.10252011-12-14
USD0.10252011-11-08
USD0.10252011-10-12
USD0.10252011-09-14
USD0.10252011-08-10
USD0.10252011-07-13
USD0.10252011-06-08
USD0.10252011-05-11
USD0.10252011-04-13
USD0.10252011-03-09
USD0.10252011-02-09
USD0.10252011-01-12
201014.79%USD 1.299USD0.10252010-12-15
USD0.10252010-11-09
USD0.10252010-10-13
USD0.10252010-09-08
USD0.10252010-08-11
USD0.10252010-07-14
USD0.10252010-06-09
USD0.10252010-05-12
USD0.06862010-04-16
USD0.10252010-04-14
USD0.10252010-03-10
USD0.10252010-02-10
USD0.10252010-01-13
200914.01%USD 1.23USD0.10252009-12-09
USD0.10252009-11-10
USD0.10252009-10-14
USD0.10252009-09-09
USD0.10252009-08-12
USD0.10252009-07-15
USD0.10252009-06-10
USD0.10252009-05-13
USD0.10252009-04-07
USD0.10252009-03-11
USD0.10252009-02-11
USD0.10252009-01-14
200819.41%USD 1.704USD0.1422008-12-10
USD0.1422008-11-12
USD0.1422008-10-15
USD0.1422008-09-10
USD0.1422008-08-13
USD0.1422008-07-09
USD0.1422008-06-11
USD0.1422008-05-14
USD0.1422008-04-09
USD0.1422008-03-13
USD0.1422008-02-13
USD0.1422008-01-09
20076.47%USD 0.568USD0.1422007-12-12
USD0.1422007-11-14
USD0.1422007-10-10
USD0.1422007-09-12