logo
light
search

RIBAX Dividend History NMFQS:RIBAX

Intermediate Core Bond | RBC Global Asset Management.
$8.60
↑ $0.01 (0.12%)
Last Updated: Feb 17, 2026

RIBAX fund offers investors an annual dividend of $0.11 per share, representing a current yield of 3.78%. Distributions are made monthly, with the most recent ex-dividend date on 2024-11-29 .

RIBAX Dividend Overview

Current Yield

3.78%
Above Average

Annual Distribution

$0.11
per share

Distribution Frequency

Monthly
Last 12 months: 4 payments

Most Recent Ex-Date

2024-11-29

Annual Growth Rate

3.85%
Year over Year

Recent Payment

$0.0270
Most recent distribution

Dividend Calendar

Jan
Feb
Mar
Apr
May
Jun
Jul
Aug
Sep
Oct
Nov
Dec

Dividend distribution

Dividend Payment History

Ex-Dividend Date Distribution Record Date Payment Date Period
2024-11-29 $0.0270 - - Monthly
2024-10-31 $0.0270 2024-10-30 2024-10-31 Monthly
2024-09-30 $0.0250 2024-09-27 2024-09-30 Monthly
2024-08-30 $0.0290 2024-08-29 2024-08-30 Monthly
2024-07-31 $0.0270 2024-07-30 2024-07-31 Monthly
2024-06-28 $0.0250 2024-06-27 2024-06-28 Monthly
2024-05-31 $0.0270 2024-05-30 2024-05-31 Monthly
2024-04-30 $0.0250 2024-04-29 2024-04-30 Monthly
2024-03-28 $0.0250 2024-03-27 2024-03-28 Monthly
2024-02-29 $0.0260 2024-02-28 2024-02-29 Monthly
2024-01-31 $0.0250 2024-01-30 2024-01-31 Monthly
2023-12-29 $0.0250 2023-12-28 2023-12-29 Monthly
2023-11-30 $0.0230 2023-11-29 2023-11-30 Monthly
2023-10-31 $0.0240 2023-10-30 2023-10-31 Monthly
2023-09-29 $0.0230 2023-09-28 2023-09-29 Monthly
2023-08-31 $0.0240 2023-08-30 2023-08-31 Monthly
2023-07-31 $0.0220 2023-07-28 2023-07-31 Monthly
2023-06-30 $0.0240 2023-06-29 2023-06-30 Monthly
2023-05-31 $0.0230 2023-05-30 2023-05-31 Monthly
2023-04-28 $0.0200 2023-04-27 2023-04-28 Monthly
2023-03-31 $0.0220 2023-03-30 2023-03-31 Monthly
2023-02-28 $0.0190 2023-02-27 2023-02-28 Monthly
2023-01-31 $0.0180 2023-01-30 2023-01-31 Monthly
2022-12-30 $0.0186 2022-12-29 2022-12-30 Monthly
2022-11-30 $0.0177 2022-11-29 2022-11-30 Monthly
2022-10-31 $0.0175 2022-10-28 2022-10-31 Monthly
2022-09-30 $0.0158 2022-09-29 2022-09-30 Monthly
2022-08-31 $0.0159 2022-08-30 2022-08-31 Monthly
2022-08-29 $0.0117 2022-08-26 2022-08-29 Monthly
2022-07-29 $0.0151 2022-07-28 2022-07-29 Monthly
2022-06-30 $0.0138 2022-06-29 2022-06-30 Monthly
2022-05-31 $0.0127 2022-05-27 2022-05-31 Monthly
2022-04-29 $0.0120 2022-04-28 2022-04-29 Monthly
2022-03-31 $0.0114 2022-03-30 2022-03-31 Monthly
2022-02-28 $0.0097 2022-02-25 2022-02-28 Monthly
2022-01-31 $0.0099 2022-01-28 2022-01-31 Monthly
2021-12-31 $0.0098 2021-12-30 2021-12-31 Monthly
2021-11-30 $0.0095 2021-11-29 2021-11-30 Monthly
2021-10-31 $0.0093 2021-10-29 2021-10-31 Monthly
2021-09-30 $0.0077 2021-09-29 2021-09-30 Monthly
2021-08-31 $0.0074 2021-08-30 2021-08-31 Monthly
2021-07-31 $0.0066 2021-07-30 2021-07-31 Monthly
2021-06-30 $0.0053 2021-06-29 2021-06-30 Monthly
2021-05-31 $0.0059 2021-05-28 2021-05-31 Monthly
2021-04-30 $0.0090 2021-04-29 2021-04-30 Monthly
2021-03-31 $0.0131 2021-03-30 2021-03-31 Monthly
2021-02-28 $0.0123 2021-02-26 2021-02-28 Monthly
2021-01-31 $0.0130 2021-01-29 2021-01-31 Monthly
2020-12-31 $0.0134 2020-12-30 2020-12-31 Monthly
2020-11-30 $0.0133 2020-11-27 2020-11-30 Monthly
2020-10-30 $0.0135 2020-10-29 2020-10-30 Monthly
2020-09-30 $0.0136 2020-09-29 2020-09-30 Monthly
2020-08-31 $0.0144 2020-08-28 2020-08-31 Monthly
2020-07-31 $0.0146 2020-07-30 2020-07-31 Monthly
2020-06-30 $0.0146 2020-06-29 2020-06-30 Monthly
2020-05-29 $0.0151 2020-05-28 2020-05-29 Monthly
2020-04-30 $0.0157 2020-04-29 2020-04-30 Monthly
2020-03-31 $0.0178 2020-03-30 2020-03-31 Monthly
2020-02-28 $0.0170 2020-02-27 2020-02-28 Monthly
2020-01-31 $0.0017 2020-01-30 2020-01-31 Monthly

* Dividend amounts are adjusted for stock splits when applicable. Historical dividend data may be incomplete or vary by source.