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PAI - Western Asset Invest...

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Western Asset Investment Grade Income Fund Inc.

PAI

NYSE

Western Asset Income Fund is a closed-ended fixed income mutual fund launched and managed by Western Asset Management Company. It is co-managed by Western Asset Management Company Limited. The fund invests in the fixed income markets of the United States. It primarily invests in investment grade debt, including government securities, bank debt, commercial paper, and cash or cash equivalents. The fund benchmarks the performance of its portfolio against the Barclays U.S. Corporate High Yield Index and the Barclays U.S. Credit Index. Western Asset Income Fund was formed on March 22, 1973 and is domiciled in the United States.

12.33 USD

-0.07 (-0.568%)

Earnings

-1.5-1-0.500.512022 Q12022 Q22022 Q32022 Q42023 Q22023 Q42024 Q22024 Q4EPS Consensus

Dividends

00.20.40.60.8May 20, 1980May 19, 1986Feb 24, 1992Dec 9, 1997Aug 27, 2003Nov 13, 2006Sep 11, 2008Sep 13, 2010Sep 19, 2012Sep 17, 2014Sep 21, 2016Sep 20, 2018Sep 22, 2020Sep 22, 2022Sep 23, 2024DividendAdjusted Dividend

Splits

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From:

To:

Date

Revenue

Earnings

Estimated Earnings

Surprise

2024-11-14

3.17M

0.03

0

-

2024-05-22

985.73k

0.74

0

-

2023-06-30

3.07M

0.37

0

-

2022-12-31

3.03M

-0.08

0

-

2022-09-30

1.68M

-0.04

0

-

2022-06-30

3.97M

1

0

-

2022-03-31

1.61M

-1.25

0

-

2021-12-31

2.9M

1

0

-

2021-09-30

1.64M

0.02

0

-

2021-06-30

4.3M

1

0

-

2021-05-24

3.36M

1

0

-

2021-03-31

1.65M

-0

0

-

2020-09-30

1.69M

0.6

0

-

2020-06-30

1.38M

1

0

-

2020-03-31

1.66M

0.07

0

-

2019-12-31

3.4M

1

0

-

2019-09-30

1.74M

0.34

0

-

2019-06-30

3.54M

1.5

0

-

2019-03-31

1.77M

0.75

0

-

2018-12-31

1.83M

-0.03

0

-

2018-09-30

1.83M

-0.03

0

-

2018-06-30

1.83M

-0.32

0

-

2018-03-31

1.83M

-0.32

0

-

2017-12-31

1.88M

0.31

0

-

2017-09-30

1.88M

0.31

0

-

2017-06-30

1.88M

0.42

0

-

2017-03-31

1.88M

0.42

0

-

2016-12-31

1.91M

0.18

0

-

2016-09-30

1.91M

0.18

0

-

2016-06-30

1.91M

0.55

0

-

2016-03-31

1.91M

0.55

0

-

2015-12-31

1.93M

-0.15

0

-

2015-09-30

1.93M

-0.15

0

-

2015-06-30

1.92M

-0.01

0

-

2015-03-31

1.92M

-0.01

0

-

2014-12-31

1.97M

0.03

0

-

2014-09-30

1.97M

0.03

0

-

2014-06-30

1.97M

0.51

0

-

2014-03-31

1.97M

0.51

0

-

2013-12-31

2.02M

0.29

0

-

2013-09-30

2.02M

0.29

0

-

2013-06-30

1.96M

-0.24

0

-

2013-03-31

1.96M

-0.24

0

-

2012-12-31

1.93M

0.55

0

-

2012-09-30

1.93M

0.55

0

-

2012-06-30

2.01M

0.45

0

-

2012-03-31

2.01M

0.45

0

-

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