Faircourt Gold Income Corp. announced monthly distribution of $0.024 per share/unit for September 2022. Ex-Dividend Date is September 28, 2022, Record Date is September 29, 2022 and payable date is October 14, 2022.
1st Jan change | Capi. | |
---|---|---|
+5.34% | 12.82B | |
+12.50% | 9.62B | |
+9.66% | 5.64B | |
-0.50% | 5.56B | |
+6.41% | 5.23B | |
+17.95% | 4.63B | |
+18.80% | 4.53B | |
+2.81% | 4.07B | |
+6.22% | 3.94B |