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Templeton Emerging Markets Income Fund (TEI) Dividend

Dividend Per Share

$0.05
$0.000.00%

18 November 2024

Dividend Per Share (Next)

Not announced

TEI Dividend Chart

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Annual Dividend Per Share

$0.57
-$0.09-13.29%

31 December 2023

TEI Annual Dividend Per Share Chart

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TTM Dividend Per Share

$0.57
$0.000.00%

10 min ago

TEI TTM Dividend Per Share Chart

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TEI Dividend Performance

PeriodPeriodLastLastAnnualAnnualTTMTTM
RecentMost recent0.0%-+0.9%
1 y1 year+8.0%-13.3%+1.0%
3 y3 years-30.6%-0.9%-22.8%
5 y5 years-12.4%--26.7%

TEI Dividend High & Low

PeriodPeriodLast vs highLast vs highLast vs lowLast vs lowAnnual vs highAnnual vs highAnnual vs lowAnnual vs lowTTM vs highTTM vs highTTM vs lowTTM vs low
1 y1 yearat high+8.0%-13.3%at low-7.2%+10.3%
3 y3 years-30.6%+13.1%-25.7%at low-34.2%+11.2%
5 y5 years-44.3%+33.8%-25.7%at low-34.2%+11.2%
alltimeall time-95.8%+143.6%-25.7%at low-77.8%+74.7%

Templeton Emerging Markets Income Fund Dividend History

DateLastAnnualTTM
Dec 2024
-
-
$0.57(0.0%)
Nov 2024
$0.05(0.0%)
-
$0.57(+0.6%)
Oct 2024
$0.05(0.0%)
-
$0.57(+0.2%)
Sept 2024
$0.05(0.0%)
-
$0.56(+0.0%)
Aug 2024
$0.05(0.0%)
-
$0.56(-8.0%)
July 2024
$0.05(0.0%)
-
$0.61(+8.4%)
June 2024
$0.05(0.0%)
-
$0.56(+0.2%)
May 2024
$0.05(0.0%)
-
$0.56(-7.6%)
Apr 2024
$0.05(0.0%)
-
$0.61(+8.4%)
Mar 2024
$0.05(0.0%)
-
$0.56(-0.1%)
Feb 2024
$0.05(0.0%)
-
$0.56(-0.4%)
Jan 2024
$0.05(+2.8%)
-
$0.57(+0.1%)
Dec 2023
-
$0.57(-13.3%)
$0.57(-7.2%)
Dec 2023
$0.05(+5.0%)
-
$0.61(+8.2%)
Nov 2023
$0.04(-5.0%)
-
$0.56(-7.2%)
Oct 2023
$0.05(-2.1%)
-
$0.61(-0.3%)
Sept 2023
$0.05(-2.9%)
-
$0.61(+8.4%)
Aug 2023
$0.05(+2.5%)
-
$0.56(+0.4%)
July 2023
$0.05(+1.9%)
-
$0.56(-0.9%)
June 2023
$0.05(-2.1%)
-
$0.56(-11.4%)
May 2023
$0.05(+2.6%)
-
$0.64(+8.1%)
Apr 2023
$0.05(-3.7%)
-
$0.59(-2.8%)
Mar 2023
$0.05(-3.0%)
-
$0.61(-2.4%)
Feb 2023
$0.05(+5.7%)
-
$0.62(-2.1%)
Jan 2023
$0.05(+7.1%)
-
$0.63(-2.7%)
Dec 2022
-
$0.65(-14.3%)
$0.65(0.0%)
Dec 2022
$0.04(+4.5%)
-
$0.65(-3.3%)
Nov 2022
$0.04(-7.9%)
-
$0.67(-3.8%)
Oct 2022
$0.05(-5.0%)
-
$0.70(-3.2%)
Sept 2022
$0.05(+3.7%)
-
$0.72(-11.4%)
Aug 2022
$0.05(-12.0%)
-
$0.82(+6.0%)
July 2022
$0.05(-10.8%)
-
$0.77(-1.0%)
June 2022
$0.06(-1.7%)
-
$0.78(-9.9%)
May 2022
$0.06(-5.5%)
-
$0.86(+7.5%)
Apr 2022
$0.06(+0.5%)
-
$0.80(-1.4%)
Mar 2022
$0.06(-0.2%)
-
$0.82(+1.5%)
Feb 2022
$0.06(-2.3%)
-
$0.80(+3.0%)
Jan 2022
$0.06(-2.3%)
-
$0.78(+2.4%)
Dec 2021
-
$0.76(+33.4%)
$0.76(0.0%)
Dec 2021
$0.07(-3.1%)
-
$0.76(-2.4%)
Nov 2021
$0.07(-0.1%)
-
$0.78(+9.6%)
Oct 2021
$0.07(-0.9%)
-
$0.71(+3.6%)
Sept 2021
$0.07(-3.5%)
-
$0.69(-0.9%)
Aug 2021
$0.07(+18.2%)
-
$0.69(+11.5%)
July 2021
$0.06(+1.5%)
-
$0.62(+1.6%)
June 2021
$0.06(-29.9%)
-
$0.61(+2.1%)
May 2021
$0.09(+14.1%)
-
$0.60(+7.1%)
Apr 2021
$0.07(+46.2%)
-
$0.56(-4.5%)
Mar 2021
$0.05(+29.0%)
-
$0.59(-1.7%)
Feb 2021
$0.04(-15.0%)
-
$0.60(+7.1%)
Jan 2021
$0.05(+13.1%)
-
$0.56(-2.5%)
Dec 2020
-
$0.57
$0.57(0.0%)
Dec 2020
$0.04(-6.8%)
-
$0.57(-12.8%)
Nov 2020
$0.04(+1.1%)
-
$0.65(+7.2%)
Oct 2020
$0.04(+9.5%)
-
$0.61(-2.3%)
Sept 2020
$0.04(+12.4%)
-
$0.62(-2.6%)
Aug 2020
$0.04(-29.8%)
-
$0.64(-4.5%)
July 2020
$0.05(+7.4%)
-
$0.67(-10.9%)
June 2020
$0.05(+3.7%)
-
$0.75(+6.7%)
May 2020
$0.05(+9.7%)
-
$0.71(-3.0%)
Apr 2020
$0.04(-30.7%)
-
$0.73(-12.0%)
Mar 2020
$0.06(-2.1%)
-
$0.83(+7.8%)
Feb 2020
$0.06(+0.2%)
-
$0.77(-1.3%)
Jan 2020
$0.06(-14.3%)
-
$0.78(-8.2%)
Dec 2019
$0.07(+31.2%)
-
$0.85(+9.2%)
Nov 2019
$0.05(-6.4%)
-
$0.78(-9.4%)
Oct 2019
$0.06(+1.9%)
-
$0.86(+7.3%)
Sept 2019
$0.06(-13.3%)
-
$0.80(-2.2%)
Aug 2019
$0.07(0.0%)
-
$0.82(-1.1%)
July 2019
$0.07(-2.2%)
-
$0.83(-21.0%)
June 2019
$0.07(+0.1%)
-
$1.05(+6.8%)
May 2019
$0.07(-4.6%)
-
$0.98(+7.3%)
Apr 2019
$0.07(-0.3%)
-
$0.91(-17.0%)
Mar 2019
$0.07(-1.4%)
-
$1.10(+6.8%)
Feb 2019
$0.07(+8.9%)
-
$1.03(+7.5%)
Jan 2019
$0.07(+0.6%)
-
$0.96(+7.3%)
Dec 2018
$0.07(-1.8%)
-
$0.89(-20.5%)
Nov 2018
$0.07(-2.5%)
-
$1.12(+6.3%)
Oct 2018
$0.07(-8.7%)
-
$1.06(-4.0%)
Sept 2018
$0.07(-0.4%)
-
$1.10(+7.3%)
Aug 2018
$0.07(+4.0%)
-
$1.02(+7.9%)
July 2018
$0.07(-66.3%)
-
$0.95(+8.2%)
June 2018
$0.21(-17.1%)
-
$0.88(+13.8%)
Mar 2018
$0.26(-12.8%)
-
$0.77(+24.3%)
Dec 2017
$0.30(+163.9%)
-
$0.62(+18.1%)
Sept 2017
$0.11(+4.8%)
-
$0.53(-14.4%)
June 2017
$0.11(0.0%)
-
$0.61(-32.3%)
Mar 2017
$0.11(-46.6%)
-
$0.91(-11.3%)
Dec 2016
$0.20(0.0%)
-
$1.02(+24.3%)
Sept 2016
$0.20(0.0%)
-
$0.82(0.0%)
June 2016
$0.20(0.0%)
-
$0.82(0.0%)
DateLastAnnualTTM
Mar 2016
$0.20(-9.8%)
-
$0.82(0.0%)
Dec 2015
$0.22(+10.9%)
-
$0.82(-38.9%)
Sept 2015
$0.20(0.0%)
-
$1.34(+17.5%)
June 2015
$0.20(0.0%)
-
$1.14(-17.9%)
Mar 2015
$0.20(-63.3%)
-
$1.39(+16.7%)
Dec 2014
$0.54(+172.2%)
-
$1.19(-11.1%)
Sept 2014
$0.20(0.0%)
-
$1.34(-18.2%)
June 2014
$0.20(-20.0%)
-
$1.64(+13.8%)
Mar 2014
$0.25(-64.0%)
-
$1.44(-43.6%)
Dec 2013
$0.69(+177.6%)
-
$2.56(+21.0%)
Sept 2013
$0.25(0.0%)
-
$2.12(0.0%)
June 2013
$0.25(0.0%)
-
$2.12(0.0%)
Mar 2013
$0.25(-77.6%)
-
$2.12(-16.0%)
Dec 2012
$1.12(+347.2%)
-
$2.52(+52.5%)
Sept 2012
$0.25(0.0%)
-
$1.65(+17.8%)
June 2012
$0.25(0.0%)
-
$1.40(0.0%)
Mar 2012
$0.25(-61.7%)
-
$1.40(-26.0%)
Dec 2011
$0.65(+161.3%)
-
$1.90(+27.0%)
Sept 2011
$0.25(0.0%)
-
$1.49(0.0%)
June 2011
$0.25(0.0%)
-
$1.49(0.0%)
Mar 2011
$0.25(-49.2%)
-
$1.49(+20.1%)
Dec 2010
$0.49(+97.0%)
-
$1.24(+10.5%)
Sept 2010
$0.25(0.0%)
-
$1.12(0.0%)
June 2010
$0.25(0.0%)
-
$1.12(0.0%)
Mar 2010
$0.25(-33.3%)
-
$1.12(0.0%)
Dec 2009
$0.37(+49.9%)
-
$1.12(-21.9%)
Sept 2009
$0.25(0.0%)
-
$1.44(0.0%)
June 2009
$0.25(0.0%)
-
$1.44(0.0%)
Mar 2009
$0.25(-63.8%)
-
$1.44(-29.0%)
Dec 2008
$0.69(+176.2%)
-
$2.03(+51.5%)
Sept 2008
$0.25(0.0%)
-
$1.34(-15.7%)
June 2008
$0.25(0.0%)
-
$1.59(0.0%)
Mar 2008
$0.25(-57.6%)
-
$1.59(-8.4%)
Dec 2007
$0.59(+135.8%)
-
$1.74(+27.0%)
Sept 2007
$0.25(0.0%)
-
$1.37(+2.2%)
June 2007
$0.25(0.0%)
-
$1.34(+2.3%)
Mar 2007
$0.25(-37.0%)
-
$1.31(+2.3%)
Dec 2006
$0.40(+80.3%)
-
$1.28(+13.0%)
Sept 2006
$0.22(0.0%)
-
$1.13(+24.2%)
June 2006
$0.22(0.0%)
-
$0.91(-3.2%)
Mar 2006
$0.22(0.0%)
-
$0.94(-23.0%)
Dec 2005
$0.22(-12.0%)
-
$1.22(+22.0%)
Sept 2005
$0.25(0.0%)
-
$1.00(0.0%)
June 2005
$0.25(0.0%)
-
$1.00(0.0%)
Mar 2005
$0.25(0.0%)
-
$1.00(0.0%)
Dec 2004
$0.25(0.0%)
-
$1.00(0.0%)
Sept 2004
$0.25(0.0%)
-
$1.00(0.0%)
June 2004
$0.25(0.0%)
-
$1.00(0.0%)
Mar 2004
$0.25(0.0%)
-
$1.00(-5.7%)
Dec 2003
$0.25(0.0%)
-
$1.06(-5.4%)
Sept 2003
$0.25(0.0%)
-
$1.12(-5.1%)
June 2003
$0.25(-19.4%)
-
$1.18(-4.8%)
Mar 2003
$0.31(0.0%)
-
$1.24(-20.0%)
Dec 2002
$0.31(0.0%)
-
$1.55(+23.1%)
Sept 2002
$0.31(0.0%)
-
$1.26(-19.8%)
June 2002
$0.31(0.0%)
-
$1.57(0.0%)
Mar 2002
$0.31(0.0%)
-
$1.57(+24.6%)
Dec 2001
$0.31(+1489.7%)
-
$1.26(+32.6%)
Dec 2001
$0.02(-93.7%)
-
$0.95(-40.5%)
Sept 2001
$0.31(0.0%)
-
$1.59(0.0%)
June 2001
$0.31(0.0%)
-
$1.59(0.0%)
Mar 2001
$0.31(-12.7%)
-
$1.59(0.0%)
Dec 2000
$0.35(+14.5%)
-
$1.59(+2.9%)
Sept 2000
$0.31(0.0%)
-
$1.55(+25.0%)
June 2000
$0.31(0.0%)
-
$1.24(0.0%)
Mar 2000
$0.31(0.0%)
-
$1.24(-20.0%)
Dec 1999
$0.31(0.0%)
-
$1.55(+25.0%)
Sept 1999
$0.31(0.0%)
-
$1.24(0.0%)
June 1999
$0.31(0.0%)
-
$1.24(0.0%)
Mar 1999
$0.31(0.0%)
-
$1.24(0.0%)
Dec 1998
$0.31(0.0%)
-
$1.24(0.0%)
Sept 1998
$0.31(0.0%)
-
$1.24(0.0%)
June 1998
$0.31(0.0%)
-
$1.24(0.0%)
Mar 1998
$0.31(0.0%)
-
$1.24(0.0%)
Dec 1997
$0.31(0.0%)
-
$1.24(0.0%)
Sept 1997
$0.31(0.0%)
-
$1.24(0.0%)
June 1997
$0.31(0.0%)
-
$1.24(-20.0%)
Mar 1997
$0.31(0.0%)
-
$1.55(+25.0%)
Dec 1996
$0.31(0.0%)
-
$1.24(-20.0%)
Sept 1996
$0.31(0.0%)
-
$1.55(0.0%)
June 1996
$0.31(0.0%)
-
$1.55(+25.0%)
Mar 1996
$0.31(0.0%)
-
$1.24(0.0%)
Dec 1995
$0.31(0.0%)
-
$1.24(0.0%)
Sept 1995
$0.31(0.0%)
-
$1.24(0.0%)
June 1995
$0.31(0.0%)
-
$1.24(-2.4%)
Mar 1995
$0.31(0.0%)
-
$1.27(-24.0%)
Dec 1994
$0.31(0.0%)
-
$1.67(+22.8%)
Sept 1994
$0.31(-8.8%)
-
$1.36(+29.5%)
June 1994
$0.34(0.0%)
-
$1.05(+47.9%)
Mar 1994
$0.34(-8.1%)
-
$0.71(+91.9%)
Dec 1993
$0.37
-
$0.37

FAQ

  • Does Templeton Emerging Markets Income Fund pay dividends?
  • How often does Templeton Emerging Markets Income Fund pay dividends?
  • What is Templeton Emerging Markets Income Fund annual dividend per share?
  • What is the all time high annual dividend per share for Templeton Emerging Markets Income Fund?
  • What is Templeton Emerging Markets Income Fund annual dividend per share year-on-year change?
  • What is Templeton Emerging Markets Income Fund TTM dividend per share?
  • What is the all time high TTM dividend per share for Templeton Emerging Markets Income Fund?
  • What is TEI TTM dividend per share year-to-date change?
  • What is Templeton Emerging Markets Income Fund TTM dividend per share year-on-year change?
  • When will Templeton Emerging Markets Income Fund pay dividend?

Does Templeton Emerging Markets Income Fund pay dividends?

Yes, TEI pays dividend. Last payment was $0.05 per share, with an ex-dividend date on 18 November 2024

How often does Templeton Emerging Markets Income Fund pay dividends?

Over the past 365 days, Templeton Emerging Markets Income Fund paid dividends 12 times

What is Templeton Emerging Markets Income Fund annual dividend per share?

The current annual dividend per share of TEI is $0.57

What is the all time high annual dividend per share for Templeton Emerging Markets Income Fund?

Templeton Emerging Markets Income Fund all-time high annual dividend per share is $0.76

What is Templeton Emerging Markets Income Fund annual dividend per share year-on-year change?

Over the past year, TEI annual dividend per share has changed by -$0.09 (-13.29%)

What is Templeton Emerging Markets Income Fund TTM dividend per share?

The current TTM dividend per share of TEI is $0.57

What is the all time high TTM dividend per share for Templeton Emerging Markets Income Fund?

Templeton Emerging Markets Income Fund all-time high TTM dividend per share is $2.56

What is TEI TTM dividend per share year-to-date change?

Templeton Emerging Markets Income Fund TTM dividend per share has changed by +$0.00 (+0.57%) since the beginning of the year

What is Templeton Emerging Markets Income Fund TTM dividend per share year-on-year change?

Over the past year, TEI TTM dividend per share has changed by +$0.01 (+0.98%)

When will Templeton Emerging Markets Income Fund pay dividend?

Next dividend for TEI has not been announced yet