Kayne Anderson MLP/Midstream Investment Company
Kayne Anderson MLP Investment Company is a closed ended equity mutual fund launched and managed by KA Fund Advisors, LLC. It is co-managed by Kayne Anderson Capital Advisors, L.P. The fund invests in the public equity markets of the United States. It invests in stocks of companies operating in the energy sector. The fund primarily invests in energy-related master limited partnerships. Kayne Anderson MLP Investment Company was formed on June 4, 2004 and is domiciled in the United States. Show More...
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Sector Financial Services
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Industry Asset Management
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Dividend Yield 24.49 %
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Last Quote 5.88 USD
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Last Updated 22-06-2020
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External Links Yahoo Finance Morningstar Ratios
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Dividend Distributions
Ex-Dividend Amount 17-06-2020 0.150 22-04-2020 0.120 18-03-2020 0.120 19-02-2020 0.120 15-01-2020 0.120 18-12-2019 0.120 20-11-2019 0.120 23-10-2019 0.120 18-09-2019 0.120 21-08-2019 0.120 17-07-2019 0.120 19-06-2019 0.120 15-05-2019 0.120 17-04-2019 0.120 13-03-2019 0.120 13-02-2019 0.120 16-01-2019 0.120 19-12-2018 0.150 14-11-2018 0.150 10-10-2018 0.150 19-09-2018 0.150 06-07-2018 0.450 12-04-2018 0.450 04-01-2018 0.450 05-10-2017 0.450 06-07-2017 0.450 11-04-2017 0.450 04-01-2017 0.550 05-10-2016 0.550 06-07-2016 0.550 04-04-2016 0.550 06-01-2016 0.550 01-10-2015 0.658 01-07-2015 0.658 01-04-2015 0.658 05-01-2015 0.655 01-10-2014 0.650 01-07-2014 0.640 02-04-2014 0.625 02-01-2014 0.610 02-10-2013 0.595 02-07-2013 0.580 03-04-2013 0.565 26-12-2012 0.550 03-10-2012 0.538 02-07-2012 0.528 03-04-2012 0.518 03-01-2012 0.510 03-10-2011 0.503 06-07-2011 0.498 01-04-2011 0.490 03-01-2011 0.485 01-10-2010 0.480 02-07-2010 0.480 01-04-2010 0.480 04-01-2010 0.480 01-10-2009 0.480 01-07-2009 0.480 01-07-2009 0.480 01-04-2009 0.480 02-01-2009 0.500 31-12-2008 0.500 01-10-2008 0.500 02-07-2008 0.500 01-04-2008 0.498 02-01-2008 0.495 01-10-2007 0.490 02-07-2007 0.490 02-04-2007 0.480 03-01-2007 0.470 02-10-2006 0.450 03-07-2006 0.440 03-04-2006 0.430 03-01-2006 0.425 03-10-2005 0.420 01-07-2005 0.415 01-04-2005 0.410 03-01-2005 0.250