The India Fund, Inc. IFN | NYSE
Next Earnings: Mar 10, 2025
Company Overview:
10 Year Performance Metrics:
IFN Dividend Payments, Yield & Share Price charts
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IFN Dividend Safety: Payout & Dividend to Free Cash Flow Ratios.
Dividend payout ration is Dividend/EPS, and indicates if company can afford to pay dividends from net income that it earned in the quarter.
Since EPS can be played with using different "accounting gymnastics", a better measure of dividends safety is Dividend to Free Cash Flow (FCF) ratio.
FCF is how much cash the company has earned each quarter, after paying all expenses not related to earnings.
Lower Ratio indicates SAFER Dividend! Ratios consistently close to, or over 100% are usually unsustainable and often indicate a dividend cut might be coming soon.
IFN Earnings, Revenue, Cash & Debt, Shares Outstaning:
Revenue, EPS, Net Income & Ebitda - Estimates VS Actual:
Ratios, Profit Margins & Return on Capital:
IFN Dividends Info:
IFN Dividend History: Dates, Payments & Yield list
Below is a schedule of all IFN dividend payments, ex-dates, share price on the day of the payment as well as TTM & forward yield
Ex-Date | Payment Date | Amount | TTM Yield | Forward Yield | Price on Ex-Date |
---|---|---|---|---|---|
11/21/2024 | 01/10/2025 | $0.500 | 11.13% | 11.93% | $16.76 |
08/23/2024 | 09/30/2024 | $0.490 | 9.57% | 10.58% | $18.52 |
05/30/2024 | 07/05/2024 | $0.450 | 9.65% | 10.29% | $17.50 |
02/21/2024 | 03/28/2024 | $0.426 | 8.11% | 8.51% | $20.04 |
11/21/2023 | 01/10/2024 | $0.406 | 9.5% | 9.5% | $17.10 |
08/23/2023 | 09/29/2023 | $0.406 | 17.09% | 9.82% | $16.55 |
05/18/2023 | 06/30/2023 | $0.387 | 18.74% | 10.07% | $15.36 |
02/17/2023 | 03/31/2023 | $0.426 | 19.04% | 10.75% | $15.85 |
11/21/2022 | 01/11/2023 | $1.610 | 19.39% | 39.27% | $16.40 |
08/23/2022 | 09/30/2022 | $0.460 | 12.66% | 10.54% | $17.46 |
05/19/2022 | 06/30/2022 | $0.530 | 14.92% | 12.4% | $17.09 |
03/23/2022 | 03/31/2022 | $0.580 | 13.73% | 12.11% | $19.16 |
12/29/2021 | 01/11/2022 | $0.640 | 12.5% | 12.17% | $21.04 |
12/17/2021 | 01/31/2022 | $0.800 | 12.24% | 15.25% | $20.99 |
09/17/2021 | 09/30/2021 | $0.610 | 9.84% | 10.58% | $23.07 |
06/22/2021 | 06/30/2021 | $0.580 | 9.61% | 10.52% | $22.05 |
03/23/2021 | 03/31/2021 | $0.580 | 9.19% | 10.88% | $21.32 |
12/18/2020 | 12/30/2020 | $0.500 | 9.76% | 10.02% | $19.97 |
09/18/2020 | 09/30/2020 | $0.460 | 12.17% | 11.08% | $16.60 |
06/18/2020 | 06/30/2020 | $0.420 | 14.32% | 11.24% | $14.94 |
03/19/2020 | 03/31/2020 | $0.570 | 18.78% | 18.54% | $12.30 |
12/30/2019 | 01/10/2020 | $0.570 | 11.47% | 11.23% | $20.31 |
09/20/2019 | 09/30/2019 | $0.580 | 20.3% | 11.54% | $20.11 |
06/20/2019 | 06/28/2019 | $0.590 | 20% | 11.21% | $21.06 |
03/20/2019 | 03/29/2019 | $0.590 | 20.11% | 10.95% | $21.55 |
12/28/2018 | 01/10/2019 | $2.323 | 22.31% | 46.04% | $20.18 |
09/21/2018 | 10/02/2018 | $0.710 | 22.04% | 12.48% | $22.75 |
06/20/2018 | 06/29/2018 | $0.710 | 19.27% | 11.81% | $24.04 |
04/19/2018 | 04/27/2018 | $0.760 | 15.85% | 12.28% | $24.75 |
12/28/2017 | 01/08/2018 | $2.834 | 12.35% | 44.25% | $25.62 |
09/21/2017 | 09/29/2017 | $0.329 | 6.6% | 4.78% | $27.58 |
12/28/2016 | 01/11/2017 | $1.490 | 15.11% | 28.72% | $20.75 |
09/19/2016 | 09/28/2016 | $0.216 | 6.53% | 3.43% | $25.20 |
12/29/2015 | 01/12/2016 | $1.429 | 8.06% | 25.26% | $22.63 |
09/17/2015 | 09/28/2015 | $0.395 | 9.33% | 6.53% | $24.20 |
12/29/2014 | 01/12/2015 | $1.735 | 7.2% | 26.81% | $25.89 |
09/18/2014 | 09/30/2014 | $0.128 | 3.89% | 1.85% | $27.75 |
12/27/2013 | 01/17/2014 | $0.890 | 4.79% | 17.91% | $19.87 |
10/01/2013 | 10/18/2013 | $0.062 | 12.67% | 1.29% | $19.20 |
12/19/2012 | 01/31/2013 | $2.371 | 12.83% | 45.23% | $20.97 |
12/28/2011 | 01/13/2012 | $0.320 | 26.32% | 6.77% | $18.92 |
09/29/2011 | 10/14/2011 | $0.880 | 19.62% | 14.82% | $23.75 |
12/29/2010 | 01/14/2011 | $3.780 | 11.17% | 43.65% | $34.64 |
09/29/2010 | 10/15/2010 | $0.090 | 0.25% | 0.99% | $36.30 |
12/29/2008 | 01/15/2009 | $0.670 | 43.55% | 16.39% | $16.35 |
10/07/2008 | 10/23/2008 | $6.450 | 65.84% | 116.11% | $22.22 |
12/27/2007 | 01/14/2008 | $8.180 | 16.05% | 54.65% | $59.87 |
10/02/2007 | 10/18/2007 | $1.430 | 9.01% | 10.53% | $54.30 |
12/27/2006 | 01/12/2007 | $3.460 | 20.54% | 29.67% | $46.65 |
10/02/2006 | 10/18/2006 | $0.590 | 14.12% | 5.45% | $43.33 |
04/12/2006 | 04/20/2006 | $1.070 | 11.05% | 8.55% | $50.05 |
12/28/2005 | 01/12/2006 | $4.460 | 15.24% | 45.45% | $39.25 |
12/29/2004 | 01/14/2005 | $1.520 | 5.04% | 20.17% | $30.15 |
12/26/2003 | 01/09/2004 | $0.130 | 0.9% | 2.17% | $23.99 |
12/27/2002 | 01/10/2003 | $0.085 | 0.81% | 3.25% | $10.46 |
12/19/2001 | 01/11/2002 | $0.070 | 0.71% | 2.82% | $9.92 |
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Projected Future Returns & Dividends for IFN
Based on past 10-year performance, here are IFN growth metrics:Using IFN CAGR metrics, we can estimate, that your initial $10000 investment, over next 10 years ago, should grow with dividends being reinvested (DRIP) as follows:
Share price CAGR of -5.89%
Dividend CAGR of +4.56%
IFN | |
---|---|
Current Price | $15.80 |
Start Shares | 632.91 |
Start Value | $10,000 |
After 10 years: | |
Final Share Count | 5,005.95 |
Dividends Payment | $0.78 |
Annual Dividends | $15,644 |
Yield on cost | 156.44% |
Share Price | $9.15 |
Total Dividends | $46,188 |
Final Value | $45,819 |
NOTE: Above numbers are our estimate based on IFN's Dividend and Price CAGR over past 10 years.
These numebrs should only be considered as "potential future returns"! These numbers assume DRIP (reinvesting dividends).
We cannot guarantee that your actual returns will meet these estimates.
Company Info
The India Fund, Inc. (IFN) had its IPO on 1994-02-15, and is trader on NYSE stock exchange.
The India Fund, Inc. is a close ended equity mutual fund launched and managed by Aberdeen Standard Investments (Asia) Limited. The fund invests in public equity markets of India. It seeks to invest in stocks of small-cap, mid-cap, and large-cap companies. The fund employs a quantitative and fundamental analysis with a bottom-up stock picking and asset allocation approach to create its portfolio. It benchmarks the performance of its portfolio against the IFC Investable India Index. The India Fund, Inc. was formed on December 27, 1993 and is domiciled in the Singapore.
IFN website: https://www.aberdeenifn.com/aam.nsf/usClosedIfn/home