TEAF

Tortoise Essential Assets Income Term Fund (TEAF)

Market Closed
17 Jan, 20:00
NYSE NYSE
$
12. 32
+0
+0.04%
Pre Market
$
12. 44
+0.12 +0.94%
- Market Cap
- P/E Ratio
- Div Yield
17,100 Volume
- Eps
$ 12.32
Previous Close
Day Range
12.27 12.35
Year Range
11.2 13.34
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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