Gabelli Equity Trust Closed Fund(GAB) USD 5.74
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20232.61%USD 0.15USD0.152023-03-16
202210.45%USD 0.6USD0.152022-12-08
USD0.152022-09-15
USD0.152022-06-14
USD0.152022-03-16
202110.91%USD 0.626USD0.182021-12-09
USD0.152021-09-15
USD0.152021-06-15
USD0.14632021-03-16
202010.20%USD 0.585USD0.14632020-12-10
USD0.14632020-09-15
USD0.14632020-06-15
USD0.14632020-03-16
20199.75%USD 0.559USD0.13342019-12-12
USD0.13342019-09-13
USD0.14632019-06-13
USD0.14632019-03-14
201810.87%USD 0.624USD0.18532018-12-06
USD0.14632018-09-13
USD0.14632018-06-14
USD0.14632018-03-14
201710.37%USD 0.595USD0.15612017-12-07
USD0.14632017-09-14
USD0.14632017-06-14
USD0.14632017-03-15
201610.20%USD 0.585USD0.14632016-12-07
USD0.14632016-09-14
USD0.14632016-06-14
USD0.14632016-03-14
201510.87%USD 0.624USD0.18532015-12-09
USD0.14632015-09-14
USD0.14632015-06-12
USD0.14632015-03-13
201410.87%USD 0.624USD0.18532014-12-10
USD0.14632014-09-12
USD0.14632014-06-12
USD0.14632014-03-13
201310.54%USD 0.605USD0.19512013-12-11
USD0.13662013-09-12
USD0.13662013-06-12
USD0.13662013-03-12
20129.52%USD 0.546USD0.13662012-12-12
USD0.13662012-09-12
USD0.13662012-06-13
USD0.13662012-03-14
20119.69%USD 0.556USD0.15612011-12-09
USD0.13662011-09-14
USD0.13662011-06-14
USD0.12682011-03-15
20108.67%USD 0.497USD0.16582010-12-10
USD0.1172010-09-14
USD0.10732010-06-14
USD0.10732010-03-15
200912.24%USD 0.702USD0.15612009-12-10
USD0.15612009-09-14
USD0.19512009-06-12
USD0.19512009-03-13
200813.60%USD 0.78USD0.19512008-12-10
USD0.19512008-09-12
USD0.19512008-06-12
USD0.19512008-03-13
200722.27%USD 1.278USD0.29262007-12-10
USD0.19512007-09-12
USD0.400512007-06-29
USD0.19512007-06-13
USD0.19512007-03-14
200614.84%USD 0.852USD0.29262006-12-11
USD0.19312006-09-13
USD0.18322006-06-14
USD0.18322006-03-15
200514.16%USD 0.813USD0.28932005-12-13
USD0.18082005-09-15
USD0.17132005-06-14
USD0.17132005-03-14
200415.15%USD 0.87USD0.39982004-12-14
USD0.16912004-09-14
USD0.15032004-06-14
USD0.15032004-03-15
200311.29%USD 0.648USD0.13152003-12-12
USD0.13152003-09-12
USD0.13152003-06-12
USD0.25372003-03-13
200215.55%USD 0.893USD0.13152002-12-12
USD0.25372002-09-12
USD0.25372002-06-12
USD0.25372002-03-13
200117.68%USD 1.015USD0.25372001-12-12
USD0.25372001-09-12
USD0.25372001-06-13
USD0.25372001-03-14
200021.44%USD 1.231USD0.46972000-12-13
USD0.25372000-09-13
USD0.25372000-06-14
USD0.25372000-03-15