Graphique Total Return BlackRock Floating Rate Income Strategies Fund, Inc.

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US09255X1000

Marché Fermé - Nyse 22:00:02 30/04/2024 Varia. 5j. Varia. 1 janv.
13 USD -.--% Graphique intraday de BlackRock Floating Rate Income Strategies Fund, Inc. -1,44 % +2,69 %
La performance "Total Return" intègre les versements de dividendes sur la période concernée, comme s'ils étaient réinvestis à 100%.

Dividendes passés sur BlackRock Floating Rate Income Strategies Fund, Inc.

12/04/2024 Dividende mensuel 0.12384 USD
14/03/2024 Dividende mensuel 0.12384 USD
14/02/2024 Dividende mensuel 0.12384 USD
11/01/2024 Dividende mensuel 0.12384 USD
14/12/2023 Dividende mensuel 0.12384 USD
14/11/2023 Dividende mensuel 0.11702 USD
13/10/2023 Dividende mensuel 0.11702 USD
14/09/2023 Dividende mensuel 0.11702 USD
14/08/2023 Dividende mensuel 0.11702 USD
13/07/2023 Dividende mensuel 0.11702 USD
14/06/2023 Dividende mensuel 0.11702 USD
12/05/2023 Dividende mensuel 0.1116 USD
13/04/2023 Dividende mensuel 0.1116 USD
14/03/2023 Dividende mensuel 0.1116 USD
14/02/2023 Dividende mensuel 0.0804 USD
12/01/2023 Dividende mensuel 0.0804 USD
14/12/2022 Dividende mensuel 0.0804 USD
14/11/2022 Dividende mensuel 0.0804 USD
13/10/2022 Dividende mensuel 0.0804 USD
14/09/2022 Dividende mensuel 0.0667 USD
12/08/2022 Dividende mensuel 0.0667 USD
14/07/2022 Dividende mensuel 0.0667 USD
14/06/2022 Dividende mensuel 0.0667 USD
13/05/2022 Dividende mensuel 0.0667 USD
13/04/2022 Dividende mensuel 0.0667 USD
14/03/2022 Dividende mensuel 0.0667 USD
14/02/2022 Dividende mensuel 0.0667 USD
30/12/2021 0.0667 USD
14/12/2021 Dividende mensuel 0.0667 USD
12/11/2021 Dividende mensuel 0.0667 USD
14/10/2021 Dividende mensuel 0.0667 USD
14/09/2021 Dividende mensuel 0.0667 USD
13/08/2021 Dividende mensuel 0.0667 USD
14/07/2021 Dividende mensuel 0.0667 USD
14/06/2021 Dividende mensuel 0.0667 USD
13/05/2021 Dividende mensuel 0.0667 USD
14/04/2021 Dividende mensuel 0.0667 USD
12/03/2021 Dividende mensuel 0.0667 USD
12/02/2021 Dividende mensuel 0.0667 USD
30/12/2020 Dividende mensuel 0.0667 USD
14/12/2020 Dividende mensuel 0.0667 USD
13/11/2020 Dividende mensuel 0.0788 USD
14/10/2020 Dividende mensuel 0.0788 USD
14/09/2020 Dividende mensuel 0.0788 USD
13/08/2020 Dividende mensuel 0.0788 USD
14/07/2020 Dividende mensuel 0.0788 USD
12/06/2020 Dividende mensuel 0.0788 USD
14/05/2020 Dividende mensuel 0.0788 USD
14/04/2020 Dividende mensuel 0.0788 USD
13/03/2020 Dividende mensuel 0.0788 USD
13/02/2020 Dividende mensuel 0.0788 USD
30/12/2019 Dividende mensuel 0.0788 USD
13/12/2019 Dividende mensuel 0.0788 USD
14/11/2019 Dividende mensuel 0.0788 USD
11/10/2019 Dividende mensuel 0.0788 USD
13/09/2019 Dividende mensuel 0.0695 USD
14/08/2019 Dividende mensuel 0.0695 USD
12/07/2019 Dividende mensuel 0.0695 USD
13/06/2019 Dividende mensuel 0.0695 USD
14/05/2019 Dividende mensuel 0.0695 USD
12/04/2019 Dividende mensuel 0.0695 USD
14/03/2019 Dividende mensuel 0.0695 USD
14/02/2019 Dividende mensuel 0.0645 USD
28/12/2018 0.0646 USD
28/12/2018 Dividende mensuel 0.0645 USD
12/12/2018 Dividende mensuel 0.0645 USD
14/11/2018 Dividende mensuel 0.0645 USD
12/10/2018 Dividende mensuel 0.0645 USD
13/09/2018 Dividende mensuel 0.0645 USD
14/08/2018 Dividende mensuel 0.0645 USD
13/07/2018 Dividende mensuel 0.0645 USD
14/06/2018 Dividende mensuel 0.061 USD
14/05/2018 Dividende mensuel 0.061 USD
13/04/2018 Dividende mensuel 0.061 USD
14/03/2018 Dividende mensuel 0.061 USD
14/02/2018 Dividende mensuel 0.061 USD
28/12/2017 Dividende mensuel 0.061 USD
11/12/2017 Dividende mensuel 0.061 USD
14/11/2017 Dividende mensuel 0.061 USD
13/10/2017 Dividende mensuel 0.061 USD
14/09/2017 Dividende mensuel 0.061 USD
11/08/2017 Dividende mensuel 0.061 USD
12/07/2017 Dividende mensuel 0.061 USD
13/06/2017 Dividende mensuel 0.061 USD
11/05/2017 Dividende mensuel 0.061 USD
11/04/2017 Dividende mensuel 0.061 USD
13/03/2017 Dividende mensuel 0.061 USD
13/02/2017 Dividende mensuel 0.061 USD
28/12/2016 Dividende mensuel 0.143 USD
08/12/2016 Dividende mensuel 0.061 USD
10/11/2016 Dividende mensuel 0.061 USD
12/10/2016 Dividende mensuel 0.061 USD
13/09/2016 Dividende mensuel 0.061 USD
11/08/2016 Dividende mensuel 0.061 USD
13/07/2016 Dividende mensuel 0.061 USD
13/06/2016 Dividende mensuel 0.061 USD
12/05/2016 Dividende mensuel 0.061 USD
13/04/2016 Dividende mensuel 0.061 USD
11/03/2016 Dividende mensuel 0.061 USD
11/02/2016 Dividende mensuel 0.061 USD
29/12/2015 Dividende mensuel 0.073758 USD
10/12/2015 Dividende mensuel 0.061 USD
12/11/2015 0.061 USD
13/10/2015 0.061 USD
11/09/2015 0.0674 USD
12/08/2015 0.0674 USD
13/07/2015 0.0674 USD
11/06/2015 0.0674 USD
13/05/2015 0.0674 USD
13/04/2015 0.0674 USD
11/03/2015 0.0674 USD
11/02/2015 0.0674 USD
29/12/2014 0.0674 USD
10/12/2014 0.0674 USD
12/11/2014 0.0674 USD
10/10/2014 0.0674 USD
11/09/2014 0.07 USD
13/08/2014 0.07 USD
11/07/2014 0.07 USD
12/06/2014 0.07 USD
13/05/2014 0.07 USD
11/04/2014 0.07 USD
12/03/2014 0.07 USD
12/02/2014 0.0755 USD
27/12/2013 0.0943 USD
11/12/2013 0.0755 USD
13/11/2013 0.0755 USD
11/10/2013 0.0755 USD
12/09/2013 0.0755 USD
13/08/2013 0.0755 USD
11/07/2013 0.0755 USD
12/06/2013 0.077 USD
13/05/2013 0.077 USD
11/04/2013 0.077 USD
13/03/2013 0.077 USD
13/02/2013 0.077 USD
27/12/2012 0.077 USD
12/12/2012 0.077 USD
13/11/2012 0.077 USD
11/10/2012 0.077 USD
20/09/2012 0.108 USD
12/09/2012 0.077 USD
13/08/2012 0.077 USD
12/07/2012 0.077 USD
13/06/2012 0.077 USD
11/05/2012 0.077 USD
12/04/2012 0.077 USD
13/03/2012 0.077 USD
13/02/2012 0.077 USD
28/12/2011 0.077 USD
12/12/2011 0.077 USD
10/11/2011 0.077 USD
12/10/2011 0.077 USD
13/09/2011 0.077 USD
11/08/2011 0.077 USD
13/07/2011 0.077 USD
13/06/2011 0.077 USD
12/05/2011 0.077 USD
13/04/2011 0.077 USD
11/03/2011 0.077 USD
11/02/2011 0.077 USD
29/12/2010 0.077 USD
13/12/2010 0.077 USD
10/11/2010 0.077 USD
13/10/2010 0.077 USD
13/09/2010 0.077 USD
12/08/2010 0.077 USD
13/07/2010 0.077 USD
11/06/2010 0.077 USD
12/05/2010 0.0815 USD
13/04/2010 0.0815 USD
11/03/2010 0.0815 USD
10/02/2010 0.0815 USD
29/12/2009 0.0815 USD
11/12/2009 0.0815 USD
10/11/2009 0.0815 USD
13/10/2009 0.0815 USD
11/09/2009 0.0815 USD
12/08/2009 0.08983 USD
13/07/2009 0.08983 USD
11/06/2009 0.08983 USD
13/05/2009 0.10483 USD
13/04/2009 0.10483 USD
12/03/2009 0.10483 USD
11/02/2009 0.11483 USD
29/12/2008 0.12302 USD
11/12/2008 0.11483 USD
12/11/2008 0.11483 USD
10/10/2008 0.12483 USD
11/09/2008 0.12483 USD
13/08/2008 0.12483 USD
11/07/2008 0.12483 USD
12/06/2008 0.12483 USD
13/05/2008 0.12483 USD
11/04/2008 0.12483 USD
12/03/2008 0.12483 USD
13/02/2008 0.12483 USD
27/12/2007 0.174 USD
11/12/2007 0.12483 USD
13/11/2007 0.12483 USD
11/10/2007 0.12483 USD
12/09/2007 0.12483 USD
13/08/2007 0.12083 USD
12/07/2007 0.12083 USD
13/06/2007 0.12083 USD
11/05/2007 0.12083 USD
12/04/2007 0.12083 USD
13/03/2007 0.12083 USD
13/02/2007 0.12083 USD
27/12/2006 Dividende mensuel 0.208241 USD
08/12/2006 Dividende mensuel 0.120834 USD
10/11/2006 Dividende mensuel 0.120834 USD
12/10/2006 Dividende mensuel 0.120834 USD
13/09/2006 Dividende mensuel 0.120834 USD
10/08/2006 Dividende mensuel 0.1125 USD
13/07/2006 Dividende mensuel 0.1125 USD
09/06/2006 Dividende mensuel 0.1125 USD
11/05/2006 Dividende mensuel 0.108333 USD
12/04/2006 Dividende mensuel 0.108333 USD
10/03/2006 Dividende mensuel 0.108333 USD
10/02/2006 Dividende mensuel 0.108333 USD
28/12/2005 Dividende mensuel 0.162982 USD
08/12/2005 Dividende mensuel 0.108333 USD
10/11/2005 Dividende mensuel 0.108333 USD
13/10/2005 Dividende mensuel 0.108333 USD
12/09/2005 0.10833 USD
11/08/2005 0.10417 USD
12/07/2005 0.10417 USD
10/06/2005 0.09583 USD
11/05/2005 0.09583 USD
13/04/2005 0.09583 USD
11/03/2005 0.09583 USD
11/02/2005 0.09583 USD
28/12/2004 0.12392 USD
08/12/2004 0.0875 USD
09/11/2004 0.075 USD
13/10/2004 0.075 USD
10/09/2004 0.075 USD
12/08/2004 0.075 USD
13/07/2004 0.075 USD
10/06/2004 0.075 USD
12/05/2004 0.075 USD
14/04/2004 0.075 USD
11/03/2004 0.075 USD
11/02/2004 0.075 USD
29/12/2003 0.075 USD