Blackrock Muni Intermediate Duration Fund Inc (MUI) Dividends

Blackrock Muni Intermediate Duration Fund Inc (MUI): $12.56

0.03 (+0.24%)

POWR Rating

Component Grades

Momentum

NR

Stability

NR

Sentiment

Quality

NR

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Industry: Miscellaneous

Industry

NR

Ranked

#NR of NR

in industry
MUI Ex-Dividend Date
MUI Dividend Yield
0.00%
MUI Annual Dividend
$0.66
MUI Payout Ratio


MUI Dividend History

Ex-Dividend Date Type Payout Amount Change
2024-11-15Dividend$0.06--
2024-10-15Dividend$0.06--
2024-09-16Dividend$0.06--
2024-08-15Dividend$0.06--
2024-07-15Dividend$0.06--
2024-06-14Dividend$0.06--
2024-05-14Dividend$0.06--
2024-04-12Dividend$0.06--
2024-03-14Dividend$0.06--
2024-02-14Dividend$0.06--
2024-01-11Dividend$0.06--
2023-12-14Dividend$0.06+61.76%
2023-11-14Dividend$0.03--
2023-10-13Dividend$0.03--
2023-09-14Dividend$0.03--
2023-08-14Dividend$0.03--
2023-07-13Dividend$0.03--
2023-06-14Dividend$0.03--
2023-05-12Dividend$0.03--
2023-04-13Dividend$0.03--
2023-03-14Dividend$0.03--
2023-02-14Dividend$0.03--
2023-01-12Dividend$0.03-2.86%
2022-12-15Dividend$0.04-18.60%
2022-11-14Dividend$0.04--
2022-10-13Dividend$0.04-20.37%
2022-09-14Dividend$0.05--
2022-08-12Dividend$0.05--
2022-07-14Dividend$0.05--
2022-06-14Dividend$0.05--
2022-05-13Dividend$0.05--
2022-04-06Dividend$0.05--
2022-03-14Dividend$0.05--
2022-02-14Dividend$0.05--
2022-01-13Dividend$0.05--
2021-12-16Dividend$0.05--
2021-11-12Dividend$0.05--
2021-10-14Dividend$0.05--
2021-09-14Dividend$0.05--
2021-08-13Dividend$0.05--
2021-07-14Dividend$0.05--
2021-06-14Dividend$0.05--
2021-05-13Dividend$0.05--
2021-04-14Dividend$0.05--
2021-03-12Dividend$0.05--
2021-02-12Dividend$0.05--
2021-01-14Dividend$0.05--
2020-12-14Dividend$0.05--
2020-11-13Dividend$0.05--
2020-10-14Dividend$0.05+3.85%
2020-09-14Dividend$0.05--
2020-08-13Dividend$0.05--
2020-07-14Dividend$0.05--
2020-06-12Dividend$0.05+15.56%
2020-05-14Dividend$0.05--
2020-04-14Dividend$0.05--
2020-03-13Dividend$0.05--
2020-02-13Dividend$0.05--
2020-01-14Dividend$0.05--
2019-12-13Dividend$0.05--
2019-11-14Dividend$0.05--
2019-10-11Dividend$0.05--
2019-09-13Dividend$0.05--
2019-08-14Dividend$0.05--
2019-07-12Dividend$0.05--
2019-06-13Dividend$0.05--
2019-05-14Dividend$0.05--
2019-04-12Dividend$0.05--
2019-03-14Dividend$0.05--
2019-02-14Dividend$0.05--
2019-01-14Dividend$0.05--
2018-11-14Dividend$0.05--
2018-10-12Dividend$0.05--
2018-09-13Dividend$0.05--
2018-08-14Dividend$0.05--
2018-07-13Dividend$0.05--
2018-06-14Dividend$0.05--
2018-05-14Dividend$0.05--
2018-04-13Dividend$0.05--
2018-03-14Dividend$0.05-8.16%
2018-02-14Dividend$0.05--
2018-01-12Dividend$0.05--
2017-11-14Dividend$0.05--
2017-10-13Dividend$0.05--
2017-09-14Dividend$0.05--
2017-08-11Dividend$0.05--
2017-07-12Dividend$0.05-12.50%
2017-06-13Dividend$0.06--
2017-05-11Dividend$0.06--
2017-04-11Dividend$0.06--
2017-03-13Dividend$0.06--
2017-02-13Dividend$0.06--
2017-01-11Dividend$0.06-1.75%
2016-12-08Dividend$0.06+1.79%
2016-11-10Dividend$0.06--
2016-10-12Dividend$0.06--
2016-09-13Dividend$0.06--
2016-08-11Dividend$0.06--
2016-07-13Dividend$0.06--
2016-06-13Dividend$0.06-6.67%
2016-05-12Dividend$0.06--
2016-04-13Dividend$0.06--
2016-03-11Dividend$0.06-7.69%
2016-02-11Dividend$0.07--
2016-01-13Dividend$0.07--
2015-12-10Dividend$0.07--
2015-11-12Dividend$0.07--
2015-10-13Dividend$0.07-0.76%
2015-09-11Dividend$0.07--
2015-08-12Dividend$0.07--
2015-07-13Dividend$0.07--
2015-06-11Dividend$0.07--
2015-05-13Dividend$0.07--
2015-04-13Dividend$0.07--
2015-03-11Dividend$0.07-4.38%
2015-02-11Dividend$0.07--
2015-01-13Dividend$0.07-2.28%
2014-12-10Dividend$0.07+2.34%
2014-11-12Dividend$0.07--
2014-10-10Dividend$0.07--
2014-09-11Dividend$0.07--
2014-08-13Dividend$0.07--
2014-07-11Dividend$0.07--
2014-06-12Dividend$0.07--
2014-05-13Dividend$0.07--
2014-04-11Dividend$0.07--
2014-03-12Dividend$0.07-4.20%
2014-02-12Dividend$0.07--
2014-01-13Dividend$0.07-45.71%
2013-12-11Dividend$0.13+84.20%
2013-11-13Dividend$0.07--
2013-10-11Dividend$0.07--
2013-09-12Dividend$0.07--
2013-08-13Dividend$0.07--
2013-07-11Dividend$0.07--
2013-06-12Dividend$0.07--
2013-05-13Dividend$0.07--
2013-04-11Dividend$0.07--
2013-03-13Dividend$0.07--
2013-02-13Dividend$0.07--
2013-01-11Dividend$0.07-66.43%
2012-12-12Dividend$0.21+197.90%
2012-11-13Dividend$0.07--
2012-10-11Dividend$0.07--
2012-09-12Dividend$0.07--
2012-08-13Dividend$0.07--
2012-07-12Dividend$0.07--
2012-06-13Dividend$0.07--
2012-05-11Dividend$0.07--
2012-04-12Dividend$0.07--
2012-03-13Dividend$0.07--
2012-02-13Dividend$0.07--
2012-01-11Dividend$0.07-1.38%
2011-12-13Dividend$0.07+1.40%
2011-11-10Dividend$0.07--
2011-10-12Dividend$0.07--
2011-09-13Dividend$0.07--
2011-08-11Dividend$0.07--
2011-07-13Dividend$0.07--
2011-06-13Dividend$0.07--
2011-05-12Dividend$0.07--
2011-04-13Dividend$0.07--
2011-03-11Dividend$0.07--
2011-02-11Dividend$0.07--
2011-01-12Dividend$0.07-0.42%
2010-12-13Dividend$0.07+0.42%
2010-11-10Dividend$0.07--
2010-10-13Dividend$0.07--
2010-09-13Dividend$0.07+5.15%
2010-08-12Dividend$0.07--
2010-07-13Dividend$0.07--
2010-06-11Dividend$0.07+3.82%
2010-05-12Dividend$0.07--
2010-04-13Dividend$0.07--
2010-03-11Dividend$0.07--
2010-02-10Dividend$0.07--
2010-01-13Dividend$0.07--
2009-12-11Dividend$0.07--
2009-11-10Dividend$0.07--
2009-10-13Dividend$0.07--
2009-09-11Dividend$0.07--
2009-08-12Dividend$0.07--
2009-07-13Dividend$0.07--
2009-06-11Dividend$0.07+12.93%
2009-05-13Dividend$0.06--
2009-04-13Dividend$0.06--
2009-03-12Dividend$0.06--
2009-02-11Dividend$0.06--
2009-01-13Dividend$0.06-4.92%
2008-12-11Dividend$0.06+5.17%
2008-11-12Dividend$0.06--
2008-10-10Dividend$0.06--
2008-09-11Dividend$0.06--
2008-08-13Dividend$0.06--
2008-07-11Dividend$0.06--
2008-06-12Dividend$0.06-4.92%
2008-05-13Dividend$0.06--
2008-04-11Dividend$0.06--
2008-03-12Dividend$0.06--
2008-02-13Dividend$0.06--
2008-01-17Dividend$0.06--
2007-12-12Dividend$0.06--
2007-11-13Dividend$0.06--
2007-10-11Dividend$0.06--
2007-09-12Dividend$0.06--
2007-08-13Dividend$0.06--
2007-07-12Dividend$0.06--
2007-06-13Dividend$0.06--
2007-05-11Dividend$0.06--
2007-04-12Dividend$0.06--
2007-03-13Dividend$0.06--
2007-02-13Dividend$0.06--
2007-01-11Dividend$0.06-66.11%
2006-12-13Dividend$0.18+185.71%
2006-11-10Dividend$0.06--
2006-10-12Dividend$0.06--
2006-09-13Dividend$0.06--
2006-08-10Dividend$0.06--
2006-07-13Dividend$0.06--
2006-06-09Dividend$0.06-7.35%
2006-05-11Dividend$0.07--
2006-04-12Dividend$0.07--
2006-03-10Dividend$0.07--
2006-02-10Dividend$0.07--
2006-01-13Dividend$0.07-77.28%
2005-12-13Dividend$0.30+315.69%
2005-11-10Dividend$0.07--
2005-10-13Dividend$0.07--
2005-09-12Dividend$0.07--
2005-08-11Dividend$0.07--
2005-07-12Dividend$0.07--
2005-06-10Dividend$0.07--
2005-05-11Dividend$0.07--
2005-04-13Dividend$0.07--
2005-03-11Dividend$0.07--
2005-02-11Dividend$0.07--
2005-01-14Dividend$0.07-72.30%
2004-12-13Dividend$0.26+260.97%
2004-11-09Dividend$0.07--
2004-10-13Dividend$0.07--
2004-09-10Dividend$0.07--
2004-08-12Dividend$0.07--
2004-07-13Dividend$0.07--
2004-06-10Dividend$0.07--
2004-05-12Dividend$0.07--
2004-04-14Dividend$0.07--
2004-03-11Dividend$0.07--
2004-02-11Dividend$0.07--
2004-01-14Dividend$0.07--
2003-12-15Dividend$0.07--
2003-11-12Dividend$0.07--
2003-10-15Dividend$0.07--
2003-09-12Dividend$0.07--


MUI Dividends vs. Peers

MUI's dividend yield currently ranks #43 of 72 vs. its peers in the Miscellaneous category.
Rank Symbol Name Dividend Yield
1 BRAF G-X Brazil Financials ETF 14.12%
2 BRXX Brazil Infrastructure Egshares 12.97%
3 SUBD DB X-Trackers Solactive Investm 5.05%
4 AZIA Global X Central Asia & Mongoli 3.71%
5 BSJF 2015 HY Crp Bond Bulletshares Guggenheim 2.89%
6 DBIZ Advisorshares Pring Turner Busi 1.28%
7 BSCF 2015 Corp Bond Bulletshares Guggenheim 0.59%
8 TKMR Tekmira Pharmaceuticals Corp 0.00%
9 FLIP Franklin FTSE Japan ETF 0.00%
10 TBP Turning Point Brands 0.00%
11 TEAR TearLab Corporation 0.00%
12 PIAI.UT Prime Impact Acquisition I 0.00%
13 CRHC.UT Cohn Robbins Holdings Corp. 0.00%
14 EAPR Innovator S&P 500 Enhance and 10% Shield Strategy ETF 0.00%
15 IDSA Industrial Services of America, Inc. 0.00%
16 EEI Ecology and Environment, Inc. - 0.00%
17 SBG.UT Sandbridge Acquisition Corp 0.00%
18 ENPC.UT Executive Network Partnering Corp 0.00%
19 EQD.UT Equity Distribution Acquisition Corp. 0.00%
20 OACB.UT Oaktree Acquisition Corp. II 0.00%
21 WEBK Wellesley Bancorp, Inc. 0.00%
22 PMVC.UT PMV Consumer Acquisition Corp. 0.00%
23 NPI Nuveen Premium Fund 0.00%
24 RTP.UT Reinvent Technology Partners 0.00%
25 LRAD LRAD Corporation 0.00%
26 ATL Anooraq Resources Corp 0.00%
27 TLF Tandy Leather Factory, Inc. 0.00%
28 SGB Southwest Georgia Financial Corporation 0.00%
29 SGL Strategic Global 0.00%
30 CBFW CB Financial Services, Inc. 0.00%
31 KFH KKR Financial Holdings Llc 0.00%
32 NTC Nuveen Connecticut Quality Municipal Income Fund 0.00%
33 BCHP Egshares Blue Chip ETF 0.00%
34 ESES Eco-Stim Energy Solutions, Inc. 0.00%
35 EVGR Evergy Inc. 0.00%
36 CART Carolina Trust BancShares, Inc. 0.00%
37 BPMX BioPharmX Corporation 0.00%
38 ASBRY Asahi Group Holdings, Ltd. 0.00%
39 HLXA Helix Acquisition Corp. Cl A 0.00%
40 GEB General Electric Company 4.875% Notes due October 15, 2052 0.00%
41 SSE Seventy Seven Energy Inc. 0.00%
42 SPEX Spherix Incorporated 0.00%
43 MUI Blackrock Muni Intermediate Duration Fund Inc 0.00%
44 RAAC Revolution Acceleration Acquisition Corp. 0.00%
45 OTIV On Track Innovations Ltd - Ordinary Shares 0.00%
46 NCIM National CineMedia Inc. 0.00%
47 PCPC Periphas Capital Partnering Corp. 0.00%
48 TAT TransAtlantic Petroleum Ltd Ordinary Shares (Bermuda) 0.00%
49 RELV Reliv' International, Inc. 0.00%
50 NEGN Neogen Corp. 0.00%
51 CCA MFS California Municipal Fund Common Shares of Beneficial Interest 0.00%
52 CTX Qwest Corporation 7.00% Notes due 2052 0.00%
53 IFT Imperial Holdings 0.00%
54 GMKKY Gruma, S.A.B. de C.V. 0.00%
55 SGAM Seaport Global Acquisition 0.00%
56 STON StoneMor Inc. 0.00%
57 SSFN Stewardship Financial Corp 0.00%
58 SV Spring Valley Acquisition 0.00%
59 .INX S&P 500 Index 0.00%
60 LSAQ LifeSci Acquisition II 0.00%
61 KOOL Cesca Therapeutics Inc. 0.00%
62 JYAC Jiya Acquisition 0.00%
63 RTPZ.UT Reinvent Technology Partners Z 0.00%
64 MSBF MSB Financial Corp. 0.00%
65 GLOW Glowpoint, Inc. 0.00%
66 DGNS Dragoneer Growth Opportunities II 0.00%
67 FNJN Finjan Holdings, Inc. 0.00%
68 ISP ING Groep NV 6.20% Perpetual Debt Securities (Netherlands) 0.00%
69 SAEX SAExploration Holdings, Inc. 0.00%
70 RISR PowerShares S&P 500 Rising Rates Portfolio 0.00%
71 CUO Continental Materials Corporation 0.00%
72 PGN Paragon Offshore Plc Ordinary S 0.00%

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