Credit Suisse Asset Management Income Fund, Inc. Dividend History | Yield & Payout Insights

Dividend history and payout analysis for Credit Suisse Asset Management Income Fund, Inc. (CIK). Use the fiscal-year summary and the payout history table below to track dividend per share, dividend yield, and payout ratio changes over time, plus the key dates investors watch for dividend investing.

Dividend Performance Chart

Dividend Summary (FY)

39 years
Metric (FY)202520242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993199219911990198919881987
Dividends per share (FY)$0.22$0.24$0.24$0.24$0.24$0.24$0.24$0.24$0.24$0.24$0.24$0.24$0.27$0.36$0.33$0.39$0.33$0.43$0.33$0.40$0.43$0.48$0.48$0.74$0.72$0.72$0.72$0.72$0.78$0.72$0.72$0.72$0.84$0.77$0.84$0.84$0.84$0.84$0.63
Dividend yield (FY) %N/A9.28%8.55%10.64%7.80%8.57%8.39%8.99%8.02%8.35%9.50%8.51%7.70%8.04%8.14%10.00%N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Payout ratio (FY) %N/A95.78%54.35%-63.00%93.51%131.57%49.98%-248.94%71.86%49.45%-176.00%466.67%83.03%61.96%157.92%72.23%N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A

Dividend Payout History

100 payments
Pay DateEx-DateRecord DateAmount
2025-11-24November 17, 252025-11-17$0.02
2025-10-22October 15, 252025-10-15$0.02
2025-09-23September 16, 252025-09-16$0.02
2025-08-22August 15, 252025-08-15$0.02
2025-07-23July 16, 252025-07-16$0.02
2025-06-24June 16, 252025-06-16$0.02
2025-05-22May 15, 252025-05-15$0.02
2025-04-23April 15, 252025-04-15$0.02
2025-03-24March 17, 252025-03-17$0.02
2025-02-25February 18, 252025-02-18$0.02
2025-01-24January 16, 252025-01-16$0.02
2024-12-23December 17, 242024-12-17$0.02
2024-11-22November 18, 242024-11-18$0.02
2024-10-22October 16, 242024-10-16$0.02
2024-09-24September 18, 242024-09-18$0.02
2024-08-22August 16, 242024-08-16$0.02
2024-07-23July 17, 242024-07-17$0.02
2024-06-25June 18, 242024-06-18$0.02
2024-05-22May 15, 242024-05-16$0.02
2024-04-22April 15, 242024-04-16$0.02
2024-03-22March 15, 242024-03-18$0.02
2024-02-23February 15, 242024-02-16$0.02
2024-01-24January 17, 242024-01-18$0.02
2023-12-22December 15, 232023-12-18$0.02
2023-11-24November 16, 232023-11-17$0.02
2023-10-24October 17, 232023-10-18$0.02
2023-09-25September 18, 232023-09-19$0.02
2023-08-22August 15, 232023-08-16$0.02
2023-07-25July 18, 232023-07-19$0.02
2023-06-23June 15, 232023-06-16$0.02
2023-05-22May 15, 232023-05-16$0.02
2023-04-25April 18, 232023-04-19$0.02
2023-03-22March 15, 232023-03-16$0.02
2023-02-23February 15, 232023-02-16$0.02
2023-01-25January 18, 232023-01-19$0.02
2022-12-22December 15, 222022-12-16$0.02
2022-11-23November 16, 222022-11-17$0.02
2022-10-25October 18, 222022-10-19$0.02
2022-09-23September 16, 222022-09-19$0.02
2022-08-22August 15, 222022-08-16$0.02
2022-07-25July 18, 222022-07-19$0.02
2022-06-23June 15, 222022-06-16$0.02
2022-05-23May 16, 222022-05-17$0.02
2022-04-25April 18, 222022-04-19$0.02
2022-03-22March 15, 222022-03-16$0.02
2022-02-23February 15, 222022-02-16$0.02
2022-01-25January 18, 222022-01-19$0.02
2021-12-22December 15, 212021-12-16$0.02
2021-11-22November 15, 212021-11-16$0.02
2021-10-25October 18, 212021-10-19$0.02
2021-09-23September 16, 212021-09-17$0.02
2021-08-23August 16, 212021-08-17$0.02
2021-07-23July 16, 212021-07-19$0.02
2021-06-22June 15, 212021-06-16$0.02
2021-05-24May 17, 212021-05-18$0.02
2021-04-23April 16, 212021-04-19$0.02
2021-03-22March 15, 212021-03-16$0.02
2021-02-23February 16, 212021-02-17$0.02
2021-01-26January 19, 212021-01-20$0.02
2020-12-22December 15, 202020-12-16$0.02
2020-11-24November 16, 202020-11-17$0.02
2020-10-23October 16, 202020-10-19$0.02
2020-09-23September 16, 202020-09-17$0.02
2020-08-24August 17, 202020-08-18$0.02
2020-07-23July 16, 202020-07-17$0.02
2020-06-22June 15, 202020-06-16$0.02
2020-05-22May 15, 202020-05-18$0.02
2020-04-23April 16, 202020-04-17$0.02
2020-03-23March 16, 202020-03-17$0.02
2020-02-25February 18, 202020-02-19$0.02
2020-01-24January 16, 202020-01-17$0.02
2019-12-23December 16, 192019-12-17$0.02
2019-11-25November 18, 192019-11-19$0.02
2019-10-23October 16, 192019-10-17$0.02
2019-09-24September 17, 192019-09-18$0.02
2019-08-22August 15, 192019-08-16$0.02
2019-07-23July 16, 192019-07-17$0.02
2019-06-24June 17, 192019-06-18$0.02
2019-05-22May 15, 192019-05-16$0.02
2019-04-23April 15, 192019-04-16$0.02
2019-03-22March 15, 192019-03-18$0.02
2019-02-25February 15, 192019-02-19$0.02
2019-01-24January 16, 192019-01-17$0.02
2018-12-17December 10, 182018-12-11$0.02
2018-11-15November 08, 182018-11-09$0.02
2018-10-16October 09, 182018-10-10$0.02
2018-09-18September 11, 182018-09-12$0.02
2018-08-15August 08, 182018-08-09$0.02
2018-07-17July 10, 182018-07-11$0.02
2018-06-15June 08, 182018-06-11$0.02
2018-05-15May 08, 182018-05-09$0.02
2018-04-16April 09, 182018-04-10$0.02
2018-03-15March 08, 182018-03-09$0.02
2018-02-15February 08, 182018-02-09$0.02
2018-01-17January 09, 182018-01-10$0.02
2017-12-15December 08, 172017-12-11$0.02
2017-11-16November 08, 172017-11-09$0.02
2017-10-17October 10, 172017-10-11$0.02
2017-09-18September 11, 172017-09-12$0.02
2017-08-15August 07, 172017-08-09$0.02

Frequently Asked Questions

What is Credit Suisse Asset Management Income Fund, Inc.'s current dividend yield and payout ratio?

The dividend yield shows how much Credit Suisse Asset Management Income Fund, Inc. returns to shareholders relative to its stock price, while the payout ratio indicates how much of its earnings are distributed. Monitoring these metrics helps investors evaluate whether the dividend is sustainable and supported by earnings or cash flow.

How has Credit Suisse Asset Management Income Fund, Inc.'s dividend changed over the last 5 years?

By reviewing the historical dividend payouts for Credit Suisse Asset Management Income Fund, Inc., investors can identify trends in growth or cuts. Consistent or rising dividends over time often signal financial stability, while decreasing dividends may indicate potential risks or shifts in business strategy. Use the FY summary and payout history tables to track changes across multiple years.

Is Credit Suisse Asset Management Income Fund, Inc. a high-yield stock compared to its industry peers?

Comparing Credit Suisse Asset Management Income Fund, Inc.'s dividend yield with similar companies in the same sector helps gauge relative attractiveness. A higher yield can be appealing for income-focused investors, but it's important to assess sustainability alongside profitability and balance-sheet strength. Use the related peers section to benchmark dividend yield and payout characteristics.

Can Credit Suisse Asset Management Income Fund, Inc. maintain its dividend during market downturns?

Analyzing Credit Suisse Asset Management Income Fund, Inc.'s liquidity, cash flow, and debt levels provides insight into whether it can sustain dividend payments during economic volatility. Stocks with strong financial health are more likely to maintain consistent dividends even when markets fluctuate. Pair dividend metrics with the FY payout ratio and the multi-year history tables for context.

Should I consider Credit Suisse Asset Management Income Fund, Inc. dividends as part of my long-term investment strategy?

Investors often include Credit Suisse Asset Management Income Fund, Inc. dividends in a long-term portfolio to generate passive income. Assessing dividend yield, payout ratio, growth history, and financial stability helps determine whether the company fits an income-focused or total-return investment strategy. Review the dividend summary and payout history tables to validate consistency over time.