Integrated Asset Management Corp (IAM) to Issue Quarterly Dividend of $0.03 on December 21st

Share on StockTwits

Integrated Asset Management Corp (TSE:IAM) announced a quarterly dividend on Monday, December 10th, TickerTech reports. Stockholders of record on Friday, December 21st will be given a dividend of 0.03 per share on Friday, December 21st. This represents a $0.12 dividend on an annualized basis and a dividend yield of 6.35%. The ex-dividend date is Monday, December 10th.

Shares of TSE IAM traded up C$0.02 during mid-day trading on Wednesday, reaching C$1.89. 9,600 shares of the company’s stock were exchanged, compared to its average volume of 5,974. Integrated Asset Management has a twelve month low of C$1.35 and a twelve month high of C$2.01.

TRADEMARK VIOLATION NOTICE: This article was published by Fairfield Current and is the property of of Fairfield Current. If you are accessing this article on another site, it was illegally copied and republished in violation of US & international copyright & trademark legislation. The original version of this article can be viewed at https://www.fairfieldcurrent.com/news/2018/12/05/integrated-asset-management-corp-iam-to-issue-quarterly-dividend-of-0-03-on-december-21st.html.

About Integrated Asset Management

Integrated Asset Management Corp. operates as an alternative asset investment management company. The company provides investors with private equity, private corporate debt, managed futures, hedge funds, real estate investment management, property management and leasing, and merchant banking. It offers alternative asset class management to institutional, pension, and private clients.

Featured Story: Stock Split

Dividend History for Integrated Asset Management (TSE:IAM)

Receive News & Ratings for Integrated Asset Management Daily - Enter your email address below to receive a concise daily summary of the latest news and analysts' ratings for Integrated Asset Management and related companies with MarketBeat.com's FREE daily email newsletter.

Leave a Reply