TEAF TEAF Tortoise Essential Assets Income Term Fund 21 Feb 2025 (32 Days) | $0.09 Dividend | 28 Feb 2025 Payment Date | 21 Feb 2025 Record Date | 4 Nov 2024 Declaration Date |
TEAF TEAF Tortoise Essential Assets Income Term Fund 24 Jan 2025 (4 Days) | $0.09 Dividend | 31 Jan 2025 Payment Date | 24 Jan 2025 Record Date | 4 Nov 2024 Declaration Date |
TEAF TEAF Tortoise Essential Assets Income Term Fund 24 Dec 2024 | $0.09 Dividend | 31 Dec 2024 Payment Date | 24 Dec 2024 Record Date | 4 Nov 2024 Declaration Date |
TEAF TEAF Tortoise Essential Assets Income Term Fund 22 Nov 2024 | $0.09 Dividend | 29 Nov 2024 Payment Date | 22 Nov 2024 Record Date | 9 Aug 2024 Declaration Date |
TEAF TEAF Tortoise Essential Assets Income Term Fund 24 Oct 2024 | $0.09 Dividend | 31 Oct 2024 Payment Date | 24 Oct 2024 Record Date | 9 Aug 2024 Declaration Date |
TEAF TEAF Tortoise Essential Assets Income Term Fund 23 Sep 2024 | $0.09 Dividend | 30 Sep 2024 Payment Date | 23 Sep 2024 Record Date | 9 Aug 2024 Declaration Date |
TEAF TEAF Tortoise Essential Assets Income Term Fund 23 Aug 2024 | $0.09 Dividend | 30 Aug 2024 Payment Date | 23 Aug 2024 Record Date | 8 May 2024 Declaration Date |
TEAF TEAF Tortoise Essential Assets Income Term Fund 24 Jul 2024 | $0.09 Dividend | 31 Jul 2024 Payment Date | 24 Jul 2024 Record Date | 8 May 2024 Declaration Date |
TEAF TEAF Tortoise Essential Assets Income Term Fund 21 Jun 2024 | $0.09 Dividend | 28 Jun 2024 Payment Date | 21 Jun 2024 Record Date | 8 May 2024 Declaration Date |
TEAF TEAF Tortoise Essential Assets Income Term Fund 23 May 2024 | $0.09 Dividend | 31 May 2024 Payment Date | 24 May 2024 Record Date | 7 Feb 2024 Declaration Date |