Graphique Total Return Nuveen New York Quality Municipal Income Fund

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NAN

US67066X1072

Marché Fermé - Nyse 22:10:00 03/05/2024 Varia. 5j. Varia. 1 janv.
10,78 USD +0,98 % Graphique intraday de Nuveen New York Quality Municipal Income Fund +1,84 % -2,40 %
La performance "Total Return" intègre les versements de dividendes sur la période concernée, comme s'ils étaient réinvestis à 100%.

Dividendes passés sur Nuveen New York Quality Municipal Income Fund

14/05/2024 Dividende mensuel 0.0485 USD
12/04/2024 Dividende mensuel 0.0485 USD
14/03/2024 Dividende mensuel 0.0485 USD
14/02/2024 Dividende mensuel 0.043 USD
11/01/2024 Dividende mensuel 0.043 USD
14/12/2023 Dividende mensuel 0.043 USD
14/11/2023 Dividende mensuel 0.043 USD
12/10/2023 Dividende mensuel 0.036 USD
14/09/2023 Dividende mensuel 0.036 USD
14/08/2023 Dividende mensuel 0.036 USD
13/07/2023 Dividende mensuel 0.036 USD
14/06/2023 Dividende mensuel 0.0375 USD
12/05/2023 Dividende mensuel 0.0375 USD
13/04/2023 Dividende mensuel 0.0375 USD
14/03/2023 Dividende mensuel 0.0375 USD
14/02/2023 Dividende mensuel 0.0375 USD
12/01/2023 Dividende mensuel 0.0375 USD
14/12/2022 Dividende mensuel 0.0425 USD
14/11/2022 Dividende mensuel 0.0425 USD
13/10/2022 Dividende mensuel 0.0425 USD
14/09/2022 Dividende mensuel 0.0485 USD
12/08/2022 Dividende mensuel 0.0485 USD
14/07/2022 Dividende mensuel 0.0485 USD
14/06/2022 Dividende mensuel 0.0485 USD
12/05/2022 Dividende mensuel 0.0485 USD
13/04/2022 Dividende mensuel 0.0485 USD
14/03/2022 Dividende mensuel 0.0485 USD
14/02/2022 Dividende mensuel 0.0485 USD
13/01/2022 Dividende mensuel 0.0485 USD
14/12/2021 Dividende mensuel 0.0485 USD
12/11/2021 Dividende mensuel 0.0485 USD
14/10/2021 Dividende mensuel 0.0485 USD
14/09/2021 Dividende mensuel 0.052 USD
12/08/2021 Dividende mensuel 0.052 USD
14/07/2021 Dividende mensuel 0.052 USD
14/06/2021 Dividende mensuel 0.052 USD
13/05/2021 Dividende mensuel 0.052 USD
14/04/2021 Dividende mensuel 0.052 USD
12/03/2021 Dividende mensuel 0.052 USD
11/02/2021 Dividende mensuel 0.052 USD
14/01/2021 Dividende mensuel 0.052 USD
14/12/2020 Dividende mensuel 0.052 USD
12/11/2020 Dividende mensuel 0.052 USD
14/10/2020 Dividende mensuel 0.052 USD
14/09/2020 Dividende mensuel 0.052 USD
13/08/2020 Dividende mensuel 0.052 USD
14/07/2020 Dividende mensuel 0.052 USD
12/06/2020 Dividende mensuel 0.052 USD
14/05/2020 Dividende mensuel 0.052 USD
14/04/2020 Dividende mensuel 0.048 USD
12/03/2020 Dividende mensuel 0.048 USD
13/02/2020 Dividende mensuel 0.048 USD
14/01/2020 Dividende mensuel 0.048 USD
12/12/2019 Dividende mensuel 0.048 USD
14/11/2019 Dividende mensuel 0.048 USD
11/10/2019 Dividende mensuel 0.048 USD
12/09/2019 Dividende mensuel 0.048 USD
14/08/2019 Dividende mensuel 0.048 USD
12/07/2019 Dividende mensuel 0.048 USD
13/06/2019 Dividende mensuel 0.048 USD
14/05/2019 Dividende mensuel 0.048 USD
12/04/2019 Dividende mensuel 0.048 USD
14/03/2019 Dividende mensuel 0.048 USD
14/02/2019 Dividende mensuel 0.048 USD
14/01/2019 Dividende mensuel 0.048 USD
13/12/2018 Dividende mensuel 0.048 USD
14/11/2018 Dividende mensuel 0.048 USD
12/10/2018 Dividende mensuel 0.048 USD
13/09/2018 Dividende mensuel 0.048 USD
14/08/2018 Dividende mensuel 0.048 USD
12/07/2018 Dividende mensuel 0.048 USD
14/06/2018 Dividende mensuel 0.048 USD
14/05/2018 Dividende mensuel 0.048 USD
12/04/2018 Dividende mensuel 0.048 USD
14/03/2018 Dividende mensuel 0.048 USD
14/02/2018 Dividende mensuel 0.0535 USD
11/01/2018 Dividende mensuel 0.0535 USD
14/12/2017 Dividende mensuel 0.0535 USD
22/11/2017 0.0055 USD
14/11/2017 Dividende mensuel 0.058 USD
12/10/2017 Dividende mensuel 0.058 USD
14/09/2017 Dividende mensuel 0.058 USD
11/08/2017 Dividende mensuel 0.0595 USD
12/07/2017 Dividende mensuel 0.0595 USD
13/06/2017 Dividende mensuel 0.0595 USD
11/05/2017 Dividende mensuel 0.0595 USD
11/04/2017 Dividende mensuel 0.0595 USD
13/03/2017 Dividende mensuel 0.0595 USD
13/02/2017 Dividende mensuel 0.0595 USD
11/01/2017 Dividende mensuel 0.0595 USD
13/12/2016 Dividende mensuel 0.0595 USD
13/12/2016 Dividende mensuel 0.002 USD
10/11/2016 Dividende mensuel 0.0605 USD
12/10/2016 Dividende mensuel 0.0605 USD
13/09/2016 Dividende mensuel 0.0605 USD
11/08/2016 Dividende mensuel 0.065 USD
13/07/2016 Dividende mensuel 0.065 USD
13/06/2016 Dividende mensuel 0.065 USD
11/05/2016 Dividende mensuel 0.0665 USD
13/04/2016 Dividende mensuel 0.0665 USD
11/03/2016 Dividende mensuel 0.0665 USD
10/02/2016 Dividende mensuel 0.0665 USD
13/01/2016 Dividende mensuel 0.0665 USD
11/12/2015 0.0029 USD
11/12/2015 0.0665 USD
11/12/2015 0.0023 USD
10/11/2015 0.0665 USD
13/10/2015 0.0665 USD
11/09/2015 0.0665 USD
12/08/2015 0.0665 USD
13/07/2015 0.0665 USD
03/06/2015 0.065 USD
13/05/2015 0.065 USD
13/04/2015 0.065 USD
11/03/2015 0.065 USD
11/02/2015 0.063 USD
13/01/2015 0.063 USD
11/12/2014 0.063 USD
12/11/2014 0.063 USD
10/10/2014 0.063 USD
11/09/2014 0.063 USD
13/08/2014 0.063 USD
11/07/2014 0.063 USD
11/06/2014 0.063 USD
13/05/2014 0.063 USD
11/04/2014 0.063 USD
12/03/2014 0.063 USD
12/02/2014 0.063 USD
13/01/2014 0.063 USD
11/12/2013 0.0003 USD
11/12/2013 0.063 USD
13/11/2013 0.063 USD
10/10/2013 0.063 USD
11/09/2013 0.063 USD
13/08/2013 0.063 USD
11/07/2013 0.063 USD
12/06/2013 0.063 USD
13/05/2013 0.063 USD
11/04/2013 0.063 USD
13/03/2013 0.063 USD
13/02/2013 0.063 USD
11/01/2013 0.063 USD
12/12/2012 0.0308 USD
12/12/2012 0.0011 USD
12/12/2012 0.063 USD
13/11/2012 0.0655 USD
11/10/2012 0.0655 USD
12/09/2012 0.0655 USD
13/08/2012 0.0655 USD
11/07/2012 0.0655 USD
13/06/2012 0.0655 USD
11/05/2012 0.0655 USD
11/04/2012 0.0655 USD
13/03/2012 0.0655 USD
13/02/2012 0.0655 USD
11/01/2012 0.0655 USD
13/12/2011 0.0059 USD
13/12/2011 0.0655 USD
10/11/2011 0.0655 USD
12/10/2011 0.0655 USD
13/09/2011 0.0655 USD
11/08/2011 0.0655 USD
13/07/2011 0.0655 USD
13/06/2011 0.0655 USD
11/05/2011 0.0655 USD
13/04/2011 0.0655 USD
11/03/2011 0.0655 USD
11/02/2011 0.0655 USD
12/01/2011 0.0655 USD
13/12/2010 0.0344 USD
13/12/2010 0.0655 USD
10/11/2010 0.0655 USD
13/10/2010 0.0655 USD
13/09/2010 0.0655 USD
11/08/2010 0.0655 USD
13/07/2010 0.0655 USD
11/06/2010 0.0655 USD
12/05/2010 0.0655 USD
13/04/2010 0.0655 USD
11/03/2010 0.0655 USD
10/02/2010 0.0655 USD
13/01/2010 0.0655 USD
11/12/2009 0.0431 USD
11/12/2009 0.0655 USD
10/11/2009 0.0645 USD
13/10/2009 0.0645 USD
11/09/2009 0.0645 USD
12/08/2009 0.0635 USD
13/07/2009 0.0635 USD
11/06/2009 0.0635 USD
13/05/2009 0.0635 USD
13/04/2009 0.059 USD
11/03/2009 0.059 USD
11/02/2009 0.059 USD
13/01/2009 0.059 USD
11/12/2008 0.059 USD
11/12/2008 0.0878 USD
12/11/2008 0.059 USD
10/10/2008 0.059 USD
11/09/2008 0.059 USD
13/08/2008 0.0575 USD
11/07/2008 0.0575 USD
11/06/2008 0.0575 USD
13/05/2008 0.0575 USD
11/04/2008 0.0575 USD
12/03/2008 0.0575 USD
13/02/2008 0.0595 USD
11/01/2008 0.0595 USD
12/12/2007 0.0595 USD
12/12/2007 0.0682 USD
13/11/2007 0.0595 USD
11/10/2007 0.0595 USD
12/09/2007 0.0595 USD
13/08/2007 0.063 USD
11/07/2007 0.063 USD
13/06/2007 0.063 USD
11/05/2007 0.063 USD
11/04/2007 0.063 USD
13/03/2007 0.063 USD
13/02/2007 0.0655 USD
10/01/2007 Dividende mensuel 0.0655 USD
13/12/2006 0.089 USD
13/12/2006 Dividende mensuel 0.0655 USD
13/11/2006 0.0655 USD
11/10/2006 0.0655 USD
13/09/2006 0.0655 USD
11/08/2006 0.0695 USD
12/07/2006 0.0695 USD
13/06/2006 0.0695 USD
11/05/2006 0.0745 USD
11/04/2006 0.0745 USD
13/03/2006 0.0745 USD
13/02/2006 0.0785 USD
11/01/2006 0.0785 USD
13/12/2005 0.0785 USD
13/12/2005 0.1864 USD
10/11/2005 0.0785 USD
12/10/2005 0.0785 USD
13/09/2005 0.0785 USD
11/08/2005 0.0825 USD
13/07/2005 0.0825 USD
13/06/2005 0.0825 USD
11/05/2005 0.0825 USD
13/04/2005 0.0825 USD
11/03/2005 0.0825 USD
11/02/2005 0.0825 USD
12/01/2005 0.0825 USD
13/12/2004 0.0825 USD
10/11/2004 0.0825 USD
13/10/2004 0.0825 USD
13/09/2004 0.0825 USD
11/08/2004 0.0825 USD
13/07/2004 0.0825 USD
14/06/2004 0.0825 USD
12/05/2004 0.0825 USD
13/04/2004 0.0825 USD
11/03/2004 0.0825 USD
11/02/2004 0.0825 USD
13/01/2004 0.0825 USD
11/12/2003 0.0825 USD
12/11/2003 0.0825 USD
10/10/2003 0.0825 USD
11/09/2003 0.0825 USD
13/08/2003 0.081 USD
11/07/2003 0.081 USD
11/06/2003 0.081 USD
13/05/2003 0.08 USD
11/04/2003 0.08 USD
12/03/2003 0.08 USD
12/02/2003 0.077 USD
13/01/2003 0.077 USD
11/12/2002 0.077 USD
13/11/2002 0.075 USD
10/10/2002 0.075 USD
11/09/2002 0.075 USD
13/08/2002 0.073 USD
11/07/2002 0.073 USD
12/06/2002 0.073 USD
13/05/2002 0.0715 USD
11/04/2002 0.0715 USD
13/03/2002 0.0715 USD
13/02/2002 0.0695 USD
11/01/2002 0.0695 USD
12/12/2001 0.0695 USD
13/11/2001 0.0695 USD
11/10/2001 0.0695 USD
12/09/2001 0.0695 USD
13/08/2001 0.068 USD
11/07/2001 0.068 USD
13/06/2001 0.068 USD
11/05/2001 0.066 USD
10/04/2001 0.066 USD
13/03/2001 0.066 USD
13/02/2001 0.065 USD
10/01/2001 0.065 USD
13/12/2000 0.065 USD
13/11/2000 0.065 USD
11/10/2000 0.065 USD
13/09/2000 0.065 USD
11/08/2000 0.065 USD
12/07/2000 0.065 USD
13/06/2000 0.065 USD
11/05/2000 0.069 USD
12/04/2000 0.069 USD
13/03/2000 0.069 USD
11/02/2000 0.0715 USD
12/01/2000 0.0715 USD
13/12/1999 0.0715 USD
10/11/1999 0.0715 USD
13/10/1999 0.0715 USD
13/09/1999 0.0715 USD
11/08/1999 0.0715 USD
22/07/1999 0.0715 USD