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Xai Madison Equity Premium Income Fund (MCN)

Xai Madison Equity Premium Income Fund (MCN)
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Company Info

Xai Madison Equity Premium Income Fund

https://www.xainvestments.com

Description:

N/A

Key Statistics

Overview:

Annual Sales, $ 15,733 K
Annual Net Income, $ 15,289 K
Short Volume Ratio 0.26

Growth:

1-Year Return -5.73%
3-Year Return -12.55%
5-Year Return -0.06%

Per-Share Information:

Next Earnings Date N/A
EPS Growth vs. Prev Year 1.28%
Next Ex-Dividends Date 12/17/24
Dividend Payable Date 12/31/24
Dividend Payout Ratio 240.00%

MCN Ratios

Ratio
Price/Earnings ttm N/A
Price/Earnings forward N/A
Price/Earnings to Growth N/A
Return-on-Equity % N/A
Return-on-Assets % N/A
Profit Margin % 97.18%
Debt/Equity N/A
Price/Sales 21.11
Price/Cash Flow N/A
Price/Book N/A
Book Value/Share 6.77
Interest Coverage N/A

MCN Dividends

Date Value
12/17/24 $0.1800
09/17/24 $0.1800
06/14/24 $0.1800
03/14/24 $0.1800
12/14/23 $0.1800
09/14/23 $0.1800
06/15/23 $0.1800
03/15/23 $0.1800
12/15/22 $0.1800
09/15/22 $0.1800
06/15/22 $0.1800
03/15/22 $0.1800
12/15/21 $0.1800
09/15/21 $0.1800
06/15/21 $0.1800
03/15/21 $0.1800
12/15/20 $0.1800
09/15/20 $0.1800
06/15/20 $0.1800
03/16/20 $0.1800
12/16/19 $0.1800
09/17/19 $0.1800
06/17/19 $0.1800
03/14/19 $0.1800
12/14/18 $0.1800
09/17/18 $0.1800
06/14/18 $0.1800
03/14/18 $0.1800
09/15/15 $0.1800
06/16/15 $0.1800
03/17/15 $0.1800
12/15/14 $0.1800
09/15/14 $0.1800
06/16/14 $0.1800
03/17/14 $0.1800
12/13/13 $0.1800
09/16/13 $0.1800
06/14/13 $0.1800
03/15/13 $0.1800
11/13/12 $0.1800
08/13/12 $0.1800
05/11/12 $0.1800
02/13/12 $0.1800
11/10/11 $0.1800
08/11/11 $0.1800
05/11/11 $0.1800
02/11/11 $0.1800
11/10/10 $0.1800
08/11/10 $0.1800
05/12/10 $0.1800
02/10/10 $0.1800
11/10/09 $0.1962
08/12/09 $0.1800
05/13/09 $0.1800
02/11/09 $0.2400
11/12/08 $0.2400
08/13/08 $0.2800
05/13/08 $0.3300
02/13/08 $0.3300
11/13/07 $0.3300
08/13/07 $0.3300
05/11/07 $0.3300
02/13/07 $0.3300
11/13/06 $0.3300
08/11/06 $0.3300
05/11/06 $0.3300
02/13/06 $0.3300
11/10/05 $0.3300
08/11/05 $0.3300
05/11/05 $0.3300
02/11/05 $0.3300
11/10/04 $0.3000
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