CHCYX:Adv Cl/AB Discovery Growth Fund Inc - Stock Price Quote and Dividend Data
LATEST CLOSE STOCK PRICE
$16.29
EXCHANGE
NASDAQ
SECTOR / SEGMENT / INDUSTRY
Financials / Miscellaneous / Holding and other Investment Offices
Trailing 12 Month Dividend Yield13.02%
Projected 10 Year Dividend Yield0.00%
Dividend Yield 5 Year Average5.04%
Dividend Rate$0.00
Dividend Payout Ratio0.00%
Dividend Payout Ratio 5 yr Average0.00%
Dividend Growth Rate 3 yr Average94.39%
Dividend Growth Rate 5 yr Average0.00%
Dividend AllStar™ Ranking
Consecutive Dividend Increases1 Years
Dividend Declaration DateDec. 08, 2020
Dividend Ex DateDec. 08, 2020
Dividend Record DateDec. 07, 2020
Dividend Pay DateDec. 10, 2020
Dividend Amount Current$2.121
Dividend Amount Previous$0.709
Dividends Paid in the Last 12 Months2
First Dividend Paid1996
52-Week Low/High Stock Price$8.26 - $17.61
Percent Held by Institutions0.00%
Revenue$0
Net Income$0
Cash Flow$0
EPS0.00%
Market Cap$0
PE Ratio to Industry0%
Debt-Equity Ratio0.00%
Debt-Equity to Industry0.00%
Total Return Last 12 Months56.83%
Total Return Last 3 Years70.01%
Total Return Last 5 Years173.97%
Latest Trade DateFeb. 26, 2021
SectorFinancials
SegmentMiscellaneous
IndustryHolding and other Investment Offices
Dividend AllStar™ Ranking
Re-Investment AgentNone
Direct Purchase Minimum$0
Optional Cash Pay Min-Max$0 - $0
Optional Cash Payment FrequencyNone
Feb. 13, 202152 WEEK HIGH: Adv Cl/AB Discovery Growth Fund Inc (NASDAQ: CHCYX) on 02-13-2021 hit a 52 week high of $17.61
Feb. 12, 202152 WEEK HIGH: Adv Cl/AB Discovery Growth Fund Inc (NASDAQ: CHCYX) on 02-12-2021 hit a 52 week high of $17.40
Feb. 10, 202152 WEEK HIGH: Adv Cl/AB Discovery Growth Fund Inc (NASDAQ: CHCYX) on 02-10-2021 hit a 52 week high of $17.30
Feb. 09, 202152 WEEK HIGH: Adv Cl/AB Discovery Growth Fund Inc (NASDAQ: CHCYX) on 02-09-2021 hit a 52 week high of $17.23
Feb. 06, 202152 WEEK HIGH: Adv Cl/AB Discovery Growth Fund Inc (NASDAQ: CHCYX) on 02-06-2021 hit a 52 week high of $17.04
Jan. 23, 202152 WEEK HIGH: Adv Cl/AB Discovery Growth Fund Inc (NASDAQ: CHCYX) on 01-23-2021 hit a 52 week high of $16.79
Dec. 09, 2020STOCK PRICE DECREASE: Adv Cl/AB Discovery Growth Fund Inc (NASDAQ: CHCYX) on 12-09-2020 decreased stock price > 10% from $16.78 to $14.93
Dec. 08, 2020DIVIDEND ANNOUNCEMENT: Adv Cl/AB Discovery Growth Fund Inc (NASDAQ: CHCYX) on 12-08-2020 declared a dividend of $2.1213 per share
Dec. 08, 202052 WEEK HIGH: Adv Cl/AB Discovery Growth Fund Inc (NASDAQ: CHCYX) on 12-08-2020 hit a 52 week high of $16.78
Dec. 05, 202052 WEEK HIGH: Adv Cl/AB Discovery Growth Fund Inc (NASDAQ: CHCYX) on 12-05-2020 hit a 52 week high of $16.73
Mar. 01, 2021DIVIDEND ANNOUNCEMENT: Invesco High Income 2023 Target Term Fund (NYSE: IHIT) on 03-01-2021 declared a dividend of $0.0500 per share
Mar. 01, 2021DIVIDEND ANNOUNCEMENT: Hilton Tactical Income Fd Inv Cl/Direxion Funds (NASDAQ: HCYAX) on 03-01-2021 declared a dividend of $0.0376 per share
Mar. 01, 2021DIVIDEND ANNOUNCEMENT: Hilton Tactical Income Fd Instl Cl/Direxion Funds (NASDAQ: HCYIX) on 03-01-2021 declared a dividend of $0.0410 per share
Mar. 01, 2021DIVIDEND ANNOUNCEMENT: Invesco Dynamic Credit Opportunities Fund (NYSE: VTA) on 03-01-2021 declared a dividend of $0.0750 per share
Mar. 01, 2021DIVIDEND ANNOUNCEMENT: Invesco Pennsylvania Value Municipal Income Trust (NYSE: VPV) on 03-01-2021 declared a dividend of $0.0500 per share
Mar. 01, 2021DIVIDEND ANNOUNCEMENT: Shs Ben Int/Invesco Advantage Municipal Income Trust II (AMEX: VKI) on 03-01-2021 declared a dividend of $0.0485 per share
Mar. 01, 2021DIVIDEND ANNOUNCEMENT: Invesco California Value Municipal Income Trust (NYSE: VCV) on 03-01-2021 declared a dividend of $0.0475 per share
Mar. 01, 2021DIVIDEND ANNOUNCEMENT: Invesco Senior Income Trust (NYSE: VVR) on 03-01-2021 declared a dividend of $0.0210 per share
Mar. 01, 2021DIVIDEND ANNOUNCEMENT: Invesco Bond Fund (NYSE: VBF) on 03-01-2021 declared a dividend of $0.0565 per share
Mar. 01, 2021DIVIDEND ANNOUNCEMENT: Invesco Municipal Opportunity Trust (NYSE: VMO) on 03-01-2021 declared a dividend of $0.0540 per share