IFN - The India Fund, Inc.

NYSE - NYSE Delayed Price. Currency in USD
20.18
+0.28 (+1.41%)
At close: 3:59PM EDT
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Previous Close19.90
Open20.05
Bid0.00 x 800
Ask0.00 x 1100
Day's Range20.05 - 20.23
52 Week Range19.66 - 25.63
Volume41,017
Avg. Volume87,536
Market Cap542.935M
Beta (3Y Monthly)0.32
PE Ratio (TTM)N/A
EPS (TTM)-1.33
Earnings DateN/A
Forward Dividend & Yield2.36 (11.69%)
Ex-Dividend Date2019-06-20
1y Target EstN/A
Trade prices are not sourced from all markets
  • PR Newswire

    The India Fund, Inc. Announces Payment of Quarterly Distribution

    The Fund's distribution policy (the "Distribution Policy") is to pay quarterly distributions at an annual rate, set once a year, that is a percentage of the average daily NAV for the previous three months as of the month-end prior to declaration. The Distribution Policy is subject to regular review by the Board. The Distribution Policy seeks to provide investors with a stable quarterly distribution out of current income, supplemented by realized capital gains and, to the extent necessary, paid-in capital.

  • PR Newswire

    The India Fund, Inc. Announces Results Of Annual Meeting Of Stockholders

    PHILADELPHIA , June 19, 2019 /PRNewswire/ --  The India Fund, Inc. (the "Fund") (NYSE: IFN) held its Annual Meeting of Stockholders (the "Meeting") on June 19 , 2019.  At the Meeting, ...

  • PR Newswire

    The India Fund, Inc. Announces Record Date And Payment Date For Quarterly Distribution

    The Fund's distribution policy (the "Distribution Policy") is to pay quarterly distributions at an annual rate, set once a year, that is a percentage of the average daily NAV for the previous three months as of the month-end prior to declaration. Under U.S. tax rules applicable to the Fund, the amount and character of distributable income for each fiscal year can be finally determined only as of the end of the Fund's fiscal year.

  • PR Newswire

    The India Fund, Inc. Announces Performance Data And Portfolio Composition

    PHILADELPHIA , May 24, 2019 /PRNewswire/ --  The India Fund, Inc. (the "Fund") (NYSE: IFN) , a closed-end equity fund, announced today its performance data and portfolio composition as of April ...

  • PR Newswire

    The India Fund, Inc. Announces Record Date and Payment Date for Quarterly Distribution

    The Fund's distribution policy (the "Distribution Policy") is to pay quarterly distributions at an annual rate, set once a year, that is a percentage of the average daily NAV for the previous three months as of the month-end prior to declaration. Under U.S. tax rules applicable to the Fund, the amount and character of distributable income for each fiscal year can be finally determined only as of the end of the Fund's fiscal year.

  • MoneyShow

    Top Turnaround Funds in Emerging Markets

    An old adage says that when the United States sneezes, the rest of the world catches a cold. Recently, though, as the United States slows modestly, emerging market stocks seem to have caught something more like pneumonia, observes George Putnam, editor of The Turnaround Letter.

  • MoneyShow

    Fund Expert Focuses on Fidelity Europe

    In Europe, trade is front and center as the U.K. struggles to disentangle itself from its former partners in the European Union, explains fund expert John Bonnanzio, editor of Fidelity Monitor & Insight.

  • PR Newswire

    The India Fund, Inc. Announces Payment Of Quarterly Distribution

    PHILADELPHIA, Jan. 10, 2019 /PRNewswire/ -- The India Fund, Inc. (IFN) (the "Fund"), a closed-end equity fund, today announced that it paid on January 10, 2019, a distribution of US$2.32288 per share to all shareholders of record as of December 31, 2018 (ex-dividend date December 28, 2018).  This represents the quarterly distribution declared on December 11, 2018 of $0.62 and a special distribution declared on December 21, 2018 of $1.70288. As recently announced, the Fund's distribution policy (the "Distribution Policy") is to pay quarterly distributions at an annual rate, set once a year, that is a percentage of the average daily NAV for the previous three months as of the month-end prior to declaration. Your Fund's policy is to provide investors with a stable distribution rate. Each quarterly distribution will be paid out of current income, supplemented by realized capital gains and, to the extent necessary, paid-in capital.

  • PR Newswire

    The India Fund, Inc. Announces Record Date And Payment Date For Special Distribution

    Under U.S. tax rules applicable to the Fund, the amount and character of distributable income for each fiscal year can be finally determined only as of the end of the Fund's fiscal year. The amounts and sources of distributions reported in this notice are only estimates and are not being provided for tax reporting purposes.