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Acceder

Federated Premier Municipal Income Closed Fund

FMN

Closed
$ 11.06
0.21
1.89%
Last update: 08 Apr, 2026
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3M
1Y
5Y
10Y
YTD Change
%
1Y Change
%
Day range
-
1Y Range
-
Div. Yield
3.16%

$FMN Dividend data

Dividend Yield Range

Undervalued yield
%
Avg yield
%
Overvalued yield
%

Dividend Growth

Dividend Trend

Dividend History

Ex-DatePayment DatePeriodCash AmountDeclaration Date
2026-03-232026-04-01Monthly0.0450 $2026-03-10
2026-02-232026-03-02Monthly0.0450 $2026-02-10
2026-01-232026-02-02Monthly0.0450 $2026-01-12
2025-12-232026-01-02Monthly0.0450 $2025-12-10
2025-11-212025-12-01Monthly0.0450 $2025-11-10
2025-10-232025-11-03Monthly0.0450 $2025-10-10
2025-09-232025-10-01Monthly0.0450 $2025-09-10
2025-08-222025-09-02Monthly0.0450 $2025-08-11
2025-07-232025-08-01Monthly0.0450 $2025-07-10
2025-06-232025-07-01Monthly0.0450 $+12.5 %2025-06-10
2025-05-232025-06-02Monthly0.04 $2025-05-12
2025-04-232025-05-01Monthly0.04 $+5.26 %2025-04-10
2024-10-232024-11-01Monthly0.0380 $2024-10-10
2024-09-232024-10-01Monthly0.0380 $2024-09-10
2024-08-232024-09-03Monthly0.0380 $2024-08-12
2024-07-232024-08-01Monthly0.0380 $2024-07-10
2024-06-212024-07-01Monthly0.0380 $+8.57 %2024-06-10
2024-04-222024-05-01Monthly0.0350 $2024-04-10
2024-02-222024-03-01Monthly0.0350 $2024-02-12
2024-01-222024-02-01Monthly0.0350 $2024-01-10
2023-12-212024-01-02Monthly0.0350 $2023-12-11
2023-11-212023-12-01Monthly0.0350 $2023-11-10
2023-10-202023-11-01Monthly0.0350 $2023-10-10
2023-09-212023-10-02Monthly0.0350 $2023-09-11