Invesco Multi-Asset Income Y (PIYFX)
NASDAQ · Mutual Fund · Delayed Price · Currency is USD
8.12
0.00 (0.00%)
Oct 31, 2025, 4:00 PM EDT
PIYFX Dividend Information
PIYFX has an annual dividend of $0.49 per share, with a yield of 6.04%. The dividend is paid every month and the last ex-dividend date was Oct 16, 2025.
Dividend Yield
6.04%
Annual Dividend
$0.49
Ex-Dividend Date
Oct 16, 2025
Payout Frequency
Monthly
Payout Ratio
n/a
Dividend Growth(1Y)
-4.39%
Dividend History
| Ex-Dividend Date | Cash Amount | Pay Date |
|---|---|---|
| Oct 16, 2025 | $0.042 | Oct 16, 2025 |
| Sep 25, 2025 | $0.0419 | Sep 25, 2025 |
| Aug 21, 2025 | $0.0417 | Aug 21, 2025 |
| Jul 17, 2025 | $0.0417 | Jul 17, 2025 |
| Jun 26, 2025 | $0.0416 | Jun 26, 2025 |
| May 15, 2025 | $0.0401 | May 15, 2025 |
| Apr 17, 2025 | $0.0401 | Apr 17, 2025 |
| Mar 27, 2025 | $0.0401 | Mar 27, 2025 |
| Feb 20, 2025 | $0.0399 | Feb 20, 2025 |
| Jan 16, 2025 | $0.0398 | Jan 16, 2025 |
| Dec 12, 2024 | $0.0398 | Dec 12, 2024 |
| Nov 21, 2024 | $0.0397 | Nov 21, 2024 |
| Oct 17, 2024 | $0.0376 | Oct 17, 2024 |
| Sep 26, 2024 | $0.0375 | Sep 26, 2024 |
| Aug 15, 2024 | $0.0408 | Aug 15, 2024 |
| Jul 18, 2024 | $0.0407 | Jul 18, 2024 |
| Jun 27, 2024 | $0.0404 | Jun 27, 2024 |
| May 16, 2024 | $0.0437 | May 16, 2024 |
| Apr 18, 2024 | $0.0435 | Apr 18, 2024 |
| Mar 28, 2024 | $0.0435 | Mar 28, 2024 |
| Feb 15, 2024 | $0.0451 | Feb 15, 2024 |
| Jan 18, 2024 | $0.045 | Jan 18, 2024 |
| Dec 13, 2023 | $0.0466 | Dec 13, 2023 |
| Nov 16, 2023 | $0.0464 | Nov 16, 2023 |
| Oct 19, 2023 | $0.0463 | Oct 19, 2023 |
| Sep 28, 2023 | $0.0463 | Sep 28, 2023 |
| Aug 17, 2023 | $0.0463 | Aug 17, 2023 |
| Jul 20, 2023 | $0.0462 | Jul 20, 2023 |
| Jun 22, 2023 | $0.046 | Jun 22, 2023 |
| May 18, 2023 | $0.0459 | May 18, 2023 |
| Apr 20, 2023 | $0.0457 | Apr 20, 2023 |
| Mar 23, 2023 | $0.0457 | Mar 23, 2023 |
| Feb 16, 2023 | $0.0455 | Feb 16, 2023 |
| Jan 19, 2023 | $0.0452 | Jan 19, 2023 |
| Dec 14, 2022 | $0.0452 | Dec 14, 2022 |
| Nov 17, 2022 | $0.045 | Nov 17, 2022 |
| Oct 20, 2022 | $0.0446 | Oct 20, 2022 |
| Sep 22, 2022 | $0.0446 | Sep 22, 2022 |
| Aug 18, 2022 | $0.0445 | Aug 18, 2022 |
| Jul 21, 2022 | $0.0444 | Jul 21, 2022 |
| Jun 23, 2022 | $0.0442 | Jun 23, 2022 |
| May 19, 2022 | $0.0471 | May 19, 2022 |
| Apr 21, 2022 | $0.0493 | Apr 21, 2022 |
| Mar 24, 2022 | $0.0492 | Mar 24, 2022 |
| Feb 17, 2022 | $0.0492 | Feb 17, 2022 |
| Jan 20, 2022 | $0.0492 | Jan 20, 2022 |
| Dec 14, 2021 | $0.0508 | Dec 14, 2021 |
| Nov 18, 2021 | $0.0508 | Nov 18, 2021 |
| Oct 21, 2021 | $0.0507 | Oct 21, 2021 |
| Sep 23, 2021 | $0.0507 | Sep 23, 2021 |
| Aug 19, 2021 | $0.0507 | Aug 19, 2021 |
| Jul 15, 2021 | $0.0504 | Jul 15, 2021 |
| Jun 24, 2021 | $0.0503 | Jun 24, 2021 |
| May 20, 2021 | $0.0501 | May 20, 2021 |
| Apr 15, 2021 | $0.050 | Apr 15, 2021 |
| Mar 25, 2021 | $0.050 | Mar 25, 2021 |
| Feb 18, 2021 | $0.050 | Feb 18, 2021 |
| Jan 21, 2021 | $0.0501 | Jan 21, 2021 |
| Dec 11, 2020 | $0.0501 | Dec 11, 2020 |
| Nov 19, 2020 | $0.0497 | Nov 19, 2020 |
* Mutual funds include both dividends and capital gains distributions. Dividend amounts are adjusted for stock
splits.