Western Asset Emerging Markets Debt Fund, Inc (EMD)

Dividend Yield

EMD has a dividend yield of 10.39% based on $1.13 in yearly dividends. A payment is upcoming and will be paid on 2026-02-27 in the amount of $0.10.
Dividend Yield10.39%Annual Dividends$1.13
Price10.83Payments per Year12
Declaration Date2025-11-20Ex Dividend Date2026-02-20
Record Date2026-02-20Payment Date2026-02-27
Stock Index ETFs
SPYS&P 500 ETFSPY  691.84-3.58(-0.52%)
QQQNasdaq 100 ETFQQQ  626.63-6.59(-1.04%)
DIADow Jones ETFDIA  489.62-0.51(-0.10%)
Prices provided by Massive

EMD Dividend History

EMD Dividend Payments

DividendEx Div DatePay Date
$0.102026-02-202026-02-27
$0.102026-01-232026-01-30
$0.102025-12-232025-12-31
$0.102025-11-202025-12-01
$0.102025-10-242025-11-03
$0.102025-09-232025-10-01
$0.102025-08-222025-09-02
$0.102025-07-242025-08-01
$0.102025-06-232025-07-01
$0.092025-05-222025-06-02
$0.092025-04-232025-05-01
$0.092025-03-242025-04-01
$0.092025-02-212025-03-03
$0.092025-01-242025-02-03
$0.092024-12-232024-12-31
$0.082024-11-212024-12-02
$0.082024-10-242024-11-01
$0.082024-09-232024-10-01
$0.082024-08-232024-09-03
$0.082024-07-242024-08-01
$0.082024-06-212024-07-01
$0.082024-05-222024-06-03
$0.082024-04-222024-05-01
$0.082024-03-202024-04-01
$0.082024-02-212024-03-01
$0.082024-01-232024-02-01
$0.082023-12-202023-12-29
$0.082023-11-212023-12-01
$0.082023-10-232023-11-01
$0.082023-09-212023-10-02
$0.072023-08-232023-09-01
$0.072023-07-212023-08-01
$0.072023-06-222023-07-03
$0.072023-05-222023-06-01
$0.072023-04-202023-05-01
$0.072023-03-232023-04-03
$0.082023-02-172023-03-01
$0.082023-01-232023-02-01
$0.082022-12-212022-12-30
$0.082022-11-212022-12-01
$0.082022-10-212022-11-01
$0.082022-09-222022-10-03
$0.082022-08-232022-09-01
$0.082022-07-212022-08-01
$0.082022-06-222022-07-01
$0.092022-05-202022-06-01
$0.092022-04-212022-05-02
$0.092022-03-232022-04-01
$0.092022-02-172022-03-01
$0.092022-01-212022-02-01
$0.092021-12-222021-12-31
$0.092021-11-192021-12-01
$0.092021-10-212021-11-01
$0.092021-09-222021-10-01
$0.092021-08-232021-09-01
$0.092021-07-222021-08-02
$0.092021-06-222021-07-01
$0.092021-05-202021-06-01
$0.092021-04-222021-05-03
$0.092021-03-232021-04-01
$0.092021-02-182021-03-01
$0.092021-01-212021-02-01
$0.092020-12-222020-12-31
$0.102020-11-192020-12-01
$0.102020-10-222020-11-02
$0.102020-09-222020-10-01
$0.102020-08-212020-09-01
$0.102020-07-232020-08-03
$0.102020-06-222020-07-01
$0.102020-05-202020-06-01
$0.102020-04-222020-05-01
$0.102020-03-232020-04-01
$0.102020-02-202020-03-02
$0.102020-01-232020-02-03
$0.102019-12-192019-12-31
$0.102019-11-212019-12-02
$0.102019-10-172019-11-01
$0.102019-09-192019-10-01
$0.102019-08-222019-09-03
$0.102019-07-182019-08-01
$0.102019-06-202019-07-01
$0.102019-05-232019-06-03
$0.102019-04-172019-05-01
$0.102019-03-212019-04-01
$0.102019-02-142019-03-01
$0.102019-01-172019-02-01
$0.102018-12-202018-12-31
$0.102018-11-212018-12-03
$0.102018-10-182018-11-01
$0.102018-09-202018-10-01
$0.102018-08-232018-09-04
$0.102018-07-192018-08-01
$0.102018-06-212018-07-02
$0.102018-05-242018-06-01
$0.102018-04-192018-05-01
$0.102018-03-222018-04-02
$0.102018-02-152018-03-01
$0.102018-01-182018-02-01
$0.102017-12-212017-12-29
$0.102017-11-222017-12-01
$0.102017-10-192017-11-01
$0.102017-09-212017-10-02
$0.102017-08-232017-09-01
$0.102017-07-192017-08-01
$0.102017-06-212017-07-03
$0.102017-05-172017-06-01
$0.102017-04-192017-05-01
$0.102017-03-222017-04-03
$0.102017-02-152017-02-24
$0.102017-01-182017-01-27