IAE
Voya Asia Pacific High Dividend Equity Income Fund·NYSE
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IAE fundamentals
Voya Asia Pacific High Dividend Equity Income Fund (IAE) Dividend Overview: Payouts, Yield & History
Voya Asia Pacific High Dividend Equity Income Fund (IAE) last paid a dividend of 0.07 USD per share, with the ex-dividend date on Apr 15,2026. As of today, the trailing twelve-month (TTM) dividend yield is 11.46%, and the payout ratio stands at 90.05%. Explore Voya Asia Pacific High Dividend Equity Income Fund's dividend history, payout trends, and yield performance.
Voya Asia Pacific High Dividend Equity Income Fund (IAE) last paid a dividend of 0.07 USD per share, with the ex-dividend date on Apr 15,2026. As of today, the trailing twelve-month (TTM) dividend yield is 11.46%, and the payout ratio stands at 90.05%. Explore Voya Asia Pacific High Dividend Equity Income Fund's dividend history, payout trends, and yield performance.
Apr 01,2026
Apr 15,2026
$0.07
11.46%
90.05%
Dividend
Payout Ratio
Dividend Yield
Dividend Payout History
Declaration Date
Ex-Div Date
Record data
Pay date
Amount
| Mar 16,2026 | Apr 01,2026 | Apr 01,2026 | Apr 15,2026 | Cash dividend: $0.065 |
| Feb 17,2026 | Mar 02,2026 | Mar 02,2026 | Mar 16,2026 | Cash dividend: $0.065 |
| Jan 15,2026 | Feb 02,2026 | Feb 02,2026 | Feb 17,2026 | Cash dividend: $0.065 |
| Dec 15,2025 | Dec 30,2025 | Dec 30,2025 | Jan 15,2026 | Cash dividend: $0.065 |
| Nov 17,2025 | Dec 01,2025 | Dec 01,2025 | Dec 15,2025 | Cash dividend: $0.065 |
| Oct 15,2025 | Nov 03,2025 | Nov 03,2025 | Nov 17,2025 | Cash dividend: $0.065 |
| Sep 15,2025 | Oct 01,2025 | Oct 01,2025 | Oct 15,2025 | Cash dividend: $0.065 |
| Aug 15,2025 | Sep 02,2025 | Sep 02,2025 | Sep 15,2025 | Cash dividend: $0.065 |
| Jul 15,2025 | Aug 04,2025 | Aug 01,2025 | Aug 15,2025 | Cash dividend: $0.065 |
| Jun 16,2025 | Jul 01,2025 | Jul 01,2025 | Jul 15,2025 | Cash dividend: $0.065 |
| May 15,2025 | Jun 02,2025 | Jun 02,2025 | Jun 16,2025 | Cash dividend: $0.065 |
| Apr 15,2025 | May 01,2025 | May 01,2025 | May 15,2025 | Cash dividend: $0.065 |
| Mar 17,2025 | Apr 01,2025 | Apr 01,2025 | Apr 15,2025 | Cash dividend: $0.065 |
| Feb 18,2025 | Mar 03,2025 | Mar 03,2025 | Mar 17,2025 | Cash dividend: $0.065 |
| Jan 15,2025 | Feb 03,2025 | Feb 03,2025 | Feb 18,2025 | Cash dividend: $0.065 |
| Dec 16,2024 | Dec 30,2024 | Dec 30,2024 | Jan 15,2025 | Cash dividend: $0.065 |
| Nov 15,2024 | Dec 02,2024 | Dec 02,2024 | Dec 16,2024 | Cash dividend: $0.065 |
| Oct 15,2024 | Nov 01,2024 | Nov 01,2024 | Nov 15,2024 | Cash dividend: $0.065 |
| Sep 16,2024 | Oct 01,2024 | Oct 01,2024 | Oct 15,2024 | Cash dividend: $0.065 |
| Aug 15,2024 | Sep 04,2024 | Sep 03,2024 | Sep 16,2024 | Cash dividend: $0.065 |
| Jul 15,2024 | Aug 01,2024 | Aug 01,2024 | Aug 15,2024 | Cash dividend: $0.065 |
| Jun 17,2024 | Jul 01,2024 | Jul 01,2024 | Jul 15,2024 | Cash dividend: $0.065 |
| May 15,2024 | Jun 03,2024 | Jun 03,2024 | Jun 17,2024 | Cash dividend: $0.065 |
| Apr 19,2024 | May 01,2024 | May 02,2024 | May 15,2024 | Cash dividend: $0.065 |
| Dec 15,2022 | Dec 29,2022 | Dec 30,2022 | Jan 17,2023 | Cash dividend: $0.215 |
| Sep 15,2022 | Oct 03,2022 | Oct 04,2022 | Oct 17,2022 | Cash dividend: $0.215 |
| Jun 15,2022 | Jul 01,2022 | Jul 05,2022 | Jul 15,2022 | Cash dividend: $0.215 |
| Mar 15,2022 | Apr 01,2022 | Apr 04,2022 | Apr 18,2022 | Cash dividend: $0.215 |
| Dec 15,2021 | Dec 30,2021 | Dec 31,2021 | Jan 18,2022 | Cash dividend: $0.215 |
| Sep 15,2021 | Oct 01,2021 | Oct 04,2021 | Oct 15,2021 | Cash dividend: $0.215 |
| Jun 15,2021 | Jul 01,2021 | Jul 02,2021 | Jul 15,2021 | Cash dividend: $0.215 |
| Mar 15,2021 | Apr 01,2021 | Apr 05,2021 | Apr 15,2021 | Cash dividend: $0.215 |
| Dec 15,2020 | Dec 30,2020 | Dec 31,2020 | Jan 15,2021 | Cash dividend: $0.215 |
| Sep 15,2020 | Oct 01,2020 | Oct 02,2020 | Oct 15,2020 | Cash dividend: $0.215 |
| Jun 15,2020 | Jul 01,2020 | Jul 02,2020 | Jul 15,2020 | Cash dividend: $0.215 |
| Mar 16,2020 | Apr 01,2020 | Apr 02,2020 | Apr 15,2020 | Cash dividend: $0.215 |
| Dec 16,2019 | Dec 30,2019 | Dec 31,2019 | Jan 15,2020 | Cash dividend: $0.215 |
| Sep 23,2019 | Oct 01,2019 | Oct 02,2019 | Oct 15,2019 | Cash dividend: $0.215 |
| Jun 17,2019 | Jul 01,2019 | Jul 02,2019 | Jul 15,2019 | Cash dividend: $0.205 |
| Mar 20,2019 | Apr 01,2019 | Apr 02,2019 | Apr 15,2019 | Cash dividend: $0.205 |
| Dec 17,2018 | Dec 28,2018 | Dec 31,2018 | Jan 15,2019 | Cash dividend: $0.205 |
| Sep 17,2018 | Oct 01,2018 | Oct 02,2018 | Oct 15,2018 | Cash dividend: $0.205 |
| Jun 15,2018 | Jul 02,2018 | Jul 03,2018 | Jul 16,2018 | Cash dividend: $0.205 |
| Mar 15,2018 | Apr 02,2018 | Apr 03,2018 | Apr 16,2018 | Cash dividend: $0.205 |
| Dec 15,2017 | Dec 28,2017 | Dec 29,2017 | Jan 16,2018 | Cash dividend: $0.205 |
| Sep 15,2017 | Oct 03,2017 | Oct 04,2017 | Oct 16,2017 | Cash dividend: $0.205 |
| Jun 15,2017 | Jul 03,2017 | Jul 06,2017 | Jul 17,2017 | Cash dividend: $0.205 |
| Mar 15,2017 | Apr 03,2017 | Apr 05,2017 | Apr 17,2017 | Cash dividend: $0.205 |
| Dec 15,2016 | Dec 28,2016 | Dec 30,2016 | Jan 17,2017 | Cash dividend: $0.205 |
| Sep 15,2016 | Oct 03,2016 | Oct 05,2016 | Oct 17,2016 | Cash dividend: $0.255 |
| Jun 15,2016 | Jul 01,2016 | Jul 06,2016 | Jul 15,2016 | Cash dividend: $0.255 |
| Mar 15,2016 | Apr 01,2016 | Apr 05,2016 | Apr 15,2016 | Cash dividend: $0.255 |
| Dec 15,2015 | Dec 29,2015 | Dec 31,2015 | Jan 15,2016 | Cash dividend: $0.255 |
| Sep 15,2015 | Oct 01,2015 | Oct 05,2015 | Oct 15,2015 | Cash dividend: $0.255 |
| Jun 15,2015 | Jul 01,2015 | Jul 06,2015 | Jul 15,2015 | Cash dividend: $0.320 |
| Mar 16,2015 | Apr 01,2015 | Apr 06,2015 | Apr 15,2015 | Cash dividend: $0.320 |
| Dec 15,2014 | Dec 29,2014 | Dec 31,2014 | Jan 15,2015 | Cash dividend: $0.320 |
| Sep 15,2014 | Oct 01,2014 | Oct 03,2014 | Oct 15,2014 | Cash dividend: $0.320 |
| Jun 16,2014 | Jul 01,2014 | Jul 03,2014 | Jul 15,2014 | Cash dividend: $0.320 |
| Mar 17,2014 | Apr 01,2014 | Apr 03,2014 | Apr 15,2014 | Cash dividend: $0.320 |
| Dec 16,2013 | Dec 27,2013 | Dec 31,2013 | Jan 15,2014 | Cash dividend: $0.320 |
| Sep 13,2013 | Oct 01,2013 | Oct 03,2013 | Oct 15,2013 | Cash dividend: $0.320 |
| Jun 17,2013 | Jul 01,2013 | Jul 03,2013 | Jul 15,2013 | Cash dividend: $0.355 |
| Mar 15,2013 | Apr 01,2013 | Apr 03,2013 | Apr 15,2013 | Cash dividend: $0.355 |
| Dec 17,2012 | Dec 27,2012 | Dec 31,2012 | Jan 15,2013 | Cash dividend: $0.355 |
| Sep 12,2012 | Oct 01,2012 | Oct 03,2012 | Oct 15,2012 | Cash dividend: $0.355 |
| Jun 15,2012 | Jul 02,2012 | Jul 05,2012 | Jul 16,2012 | Cash dividend: $0.396 |
| Mar 14,2012 | Apr 02,2012 | Apr 04,2012 | Apr 16,2012 | Cash dividend: $0.396 |
| Dec 15,2011 | Dec 28,2011 | Dec 30,2011 | Jan 16,2012 | Cash dividend: $0.396 |
| Sep 15,2011 | Oct 03,2011 | Oct 05,2011 | Oct 17,2011 | Cash dividend: $0.426 |
| Jun 15,2011 | Jul 01,2011 | Jul 06,2011 | Jul 15,2011 | Cash dividend: $0.426 |
| Mar 16,2011 | Apr 01,2011 | Apr 05,2011 | Apr 15,2011 | Cash dividend: $0.426 |
| Dec 20,2010 | Dec 29,2010 | Dec 31,2010 | Jan 17,2011 | Cash dividend: $0.426 |
| Sep 20,2010 | Oct 01,2010 | Oct 05,2010 | Oct 15,2010 | Cash dividend: $0.426 |
| Jun 15,2010 | Jul 01,2010 | Jul 06,2010 | Jul 15,2010 | Cash dividend: $0.426 |
| Mar 19,2010 | Apr 01,2010 | Apr 06,2010 | Apr 15,2010 | Cash dividend: $0.448 |
You can ask Aime
What is the revenue and EPS growth rate for Voya Asia Pacific High Dividend Equity Income Fund year over year?What were the key takeaways from Voya Asia Pacific High Dividend Equity Income Fund’s earnings call?What is Voya Asia Pacific High Dividend Equity Income Fund's latest dividend and current dividend yield?What were the key takeaways from Voya Asia Pacific High Dividend Equity Income Fund's earnings call?What is the market's earnings forecast for Voya Asia Pacific High Dividend Equity Income Fund next quarter?What factors drove the changes in Voya Asia Pacific High Dividend Equity Income Fund's revenue and profit?What does Voya Asia Pacific High Dividend Equity Income Fund do and what are its main business segments?Did Voya Asia Pacific High Dividend Equity Income Fund beat or miss consensus estimates last quarter?
