等待开盘 03-27 09:30:00 美东时间
-0.210
-2.83%
公司名称
|
Voya Asia Pacific High Dividend Equity Income Fund
|
行业分类
|
--
|
业务描述
|
Voya Asia Pacific High Dividend Equity Income Fund operates as a closed-end investment trust. Its investment objective is to seek total return through a combination of current income, capital gains and capital appreciation. The company was founded on March 27, 2007 and is headquartered in Scottsdale, AZ.
|
派息除权日
|
每股总股息
| 派息日期 |
2022-07-01
|
0.22
|
2022-07-15
|
2022-04-01
|
0.22
|
2022-04-18
|
2021-12-30
|
0.22
|
2022-01-18
|
2021-10-01
|
0.22
|
2021-10-15
|
2021-07-01
|
0.22
|
2021-07-15
|
2021-04-01
|
0.22
|
2021-04-15
|
2020-12-30
|
0.22
|
2021-01-15
|
2020-10-01
|
0.22
|
2020-10-15
|
2020-07-01
|
0.22
|
2020-07-15
|
2020-04-01
|
0.22
|
2020-04-15
|
2019-12-30
|
0.22
|
2020-01-15
|
2019-10-01
|
0.22
|
2019-10-15
|
2019-07-01
|
0.20
|
2019-07-15
|
2019-04-01
|
0.20
|
2019-04-15
|
2018-12-28
|
0.20
|
2019-01-15
|
2018-10-01
|
0.20
|
2018-10-15
|
2018-07-02
|
0.20
|
2018-07-16
|
2018-04-02
|
0.20
|
2018-04-16
|
2017-12-28
|
0.20
|
2018-01-16
|
2017-10-03
|
0.20
|
2017-10-16
|
2017-07-03
|
0.20
|
2017-07-17
|
2017-04-03
|
0.20
|
2017-04-17
|
2016-12-28
|
0.20
|
2017-01-17
|
2016-10-03
|
0.25
|
2016-10-17
|
2016-07-01
|
0.25
|
2016-07-15
|
2016-04-01
|
0.25
|
2016-04-15
|
2015-12-29
|
0.25
|
2016-01-15
|
2015-10-01
|
0.25
|
2015-10-15
|
2015-07-01
|
0.32
|
2015-07-15
|
2015-04-01
|
0.32
|
2015-04-15
|
2014-12-29
|
0.32
|
2015-01-15
|
2014-10-01
|
0.32
|
2014-10-15
|
2014-07-01
|
0.32
|
2014-07-15
|
2014-04-01
|
0.32
|
2014-04-15
|
2013-12-27
|
0.32
|
2014-01-15
|
2013-10-01
|
0.32
|
2013-10-15
|
2013-07-01
|
0.35
|
2013-07-15
|
2013-04-01
|
0.35
|
2013-04-15
|
2012-12-27
|
0.35
|
2013-01-15
|
2012-10-01
|
0.35
|
2012-10-15
|
2012-07-02
|
0.40
|
2012-07-16
|
2012-04-02
|
0.40
|
2012-04-16
|
2011-12-28
|
0.40
|
2012-01-16
|
2011-10-03
|
0.43
|
2011-10-17
|
2011-07-01
|
0.43
|
2011-07-15
|
2011-04-01
|
0.43
|
2011-04-15
|
2010-12-29
|
0.43
|
2011-01-17
|
2010-10-01
|
0.43
|
2010-10-15
|
2010-07-01
|
0.43
|
2010-07-15
|
2010-04-01
|
0.45
|
2010-04-15
|
2009-12-29
|
0.45
|
2010-01-15
|
2009-10-01
|
0.50
|
2009-10-15
|
2009-06-30
|
0.50
|
2009-07-15
|
2009-04-01
|
0.50
|
2009-04-15
|
2008-12-29
|
0.50
|
2009-01-15
|
2008-10-01
|
0.50
|
2008-10-15
|
2008-07-01
|
0.50
|
2008-07-15
|
2008-04-01
|
0.50
|
2008-04-15
|
2007-12-27
|
0.74
|
2008-01-15
|
2007-10-01
|
0.50
|
2007-10-15
|
2007-06-13
|
0.45
|
2007-06-28
|
