• Skip to main content
×
  • Home
  • About Fullerton
    • About us
    • Leadership
    • Investment capabilities
    • Risk management
    • Sustainability
    • Augmented Intelligence
    • Accolades
    • Newsroom
    • Careers
    • Our offices
  • Our funds
    • Featured funds
    • NAV
    • Distributions
    • Fund range
    • Restricted funds
  • Investment insights
  • Literature
    • Fullerton Fund
    • Fullerton Lux Funds
  • Institutional
  • Family Office
Fullerton_Fund_Management
  • Home
  • About Fullerton
    • About us
    • Leadership
    • Investment capabilities
    • Risk management
    • Sustainability
    • Augmented Intelligence
    • Accolades
    • Newsroom
    • Careers
    • Our offices
  • Investment funds
    • NAV
    • Distributions
    • Fund range
    • Restricted funds
    • Featured funds
  • Investment insights
  • Literature
    • Fullerton Fund
    • Fullerton Lux Funds
  • Institutional
  • Family Office
  • SG (International)
    • CN 中国
    • JP ジャパン
    • ID Indonesia
×
  • Home
  • About Fullerton
    • About us
    • Leadership
    • Investment capabilities
    • Risk management
    • Sustainability
    • Augmented Intelligence
    • Accolades
    • Newsroom
    • Careers
    • Our offices
  • Investment funds
    • NAV
    • Distributions
    • Fund range
    • Restricted funds
    • Featured funds
  • Investment insights
  • Literature
    • Fullerton Fund
    • Fullerton Lux Funds
  • Institutional
  • Family Office
  • SG (International)
    • CN 中国
    • JP ジャパン
    • ID Indonesia
  • SG – International
    • CN 中国
    • JP ジャパン
    • ID Indonesia

Distributions

  • Search by fund name

  • Choose type

  • Currency

  • Frequency

Fund Name Month Currency Ex Date Payment / Reinvestment Date Dividend Payment Per Share/Unit ($)
Fullerton Asia Income Return A 31/01/2025 SGD 03/02/2025 14/02/2025 0.0038
Fullerton Asia Income Return A 31/01/2025 SGD 03/02/2025 14/02/2025 0.0038
Fullerton Asia Income Return A 31/01/2025 SGD 03/02/2025 14/02/2025 0.0093
Fullerton Asia Income Return B 31/01/2025 USD 03/02/2025 14/02/2025 0.0037
Fullerton Asia Income Return B 31/01/2025 USD 03/02/2025 14/02/2025 0.0037
Fullerton Asia Income Return B 31/01/2025 USD 03/02/2025 14/02/2025 0.0089
Fullerton Asia Income Return D 31/12/2024 SGD 02/01/2025 15/01/2025 0.0096
Fullerton Asia Income Return D 31/01/2025 SGD 03/02/2025 14/02/2025 0.0076
Fullerton Asia Income Return E 31/01/2025 SGD 03/02/2025 14/02/2025 0.0070
Fullerton Asia Income Return E 31/12/2024 SGD 02/01/2025 15/01/2025 0.0123
Fullerton Lux Funds – Asian Bonds Class A Dist (SGD-Hedged) 31/12/2024 SGD 02/01/2025 08/01/2025 0.101
Fullerton Lux Funds – Asian Bonds Class A Dist (USD) 31/12/2024 USD 02/01/2025 08/01/2025 0.106
Fullerton Lux Funds – Asian Bonds Class I Dist (USD) 31/12/2024 USD 02/01/2025 08/01/2025 0.120
Fullerton Lux Funds – Asian Bonds Class R Dist (SGD Hedged) 31/12/2024 SGD 02/01/2025 08/01/2025 0.108
Fullerton Lux Funds – Asian Currency Bonds Class A Dist (SGD) 30/09/2024 SGD 01/10/2024 07/10/2024 0.1590
Fullerton Lux Funds – Asian Currency Bonds Class A Dist (USD) 30/09/2024 USD 01/10/2024 07/10/2024 0.1530
Fullerton Lux Funds – Asian Short Duration Bonds Class A Dist (SGD Hedged) 31/12/2024 SGD 02/01/2025 08/01/2025 0.0890
Fullerton Lux Funds – Asian Short Duration Bonds Class A Dist (USD) 31/12/2024 USD 02/01/2025 08/01/2025 0.0910
Fullerton Lux Funds – Flexible Credit Income Class A Dist (SGD Hedged) 31/12/2024 SGD 02/01/2025 08/01/2025 0.1650
Fullerton Lux Funds – Flexible Credit Income Class A Dist (USD) 31/12/2024 USD 02/01/2025 08/01/2025 0.1680
Fullerton SGD Cash Fund C 31/12/2024 SGD 02/01/2025 15/01/2025 0.005
Fullerton SGD Cash Fund D 31/12/2024 SGD 02/01/2025 15/01/2025 0.008
Fullerton SGD Heritage Balanced Fund B 31/01/2025 SGD 03/02/2025 14/02/2025 0.0027
Fullerton SGD Heritage Balanced Fund B 31/01/2025 SGD 03/02/2025 14/02/2025 0.0027
Fullerton SGD Heritage Balanced Fund B1 31/01/2025 USD 03/02/2025 14/02/2025 0.0028
Fullerton SGD Heritage Balanced Fund B1 31/01/2025 USD 03/02/2025 14/02/2025 0.0028
Fullerton SGD Heritage Growth Fund B 31/01/2025 SGD 03/02/2025 14/02/2025 0.0015
Fullerton SGD Heritage Growth Fund B 31/01/2025 SGD 03/02/2025 14/02/2025 0.0015
Fullerton SGD Heritage Growth Fund B1 31/01/2025 USD 03/02/2025 14/02/2025 0.0014
Fullerton SGD Heritage Growth Fund B1 31/01/2025 USD 03/02/2025 14/02/2025 0.0014
Fullerton SGD Heritage Income Fund B 31/01/2025 SGD 03/02/2025 14/02/2025 0.0027
Fullerton SGD Heritage Income Fund B 31/01/2025 SGD 03/02/2025 14/02/2025 0.0027
Fullerton SGD Heritage Income Fund B1 31/01/2025 USD 03/02/2025 14/02/2025 0.0028
Fullerton SGD Heritage Income Fund B1 31/01/2025 USD 03/02/2025 14/02/2025 0.0028
Fullerton SGD Heritage Income Fund C 31/01/2025 SGD 03/02/2025 14/02/2025 0.0040
Fullerton SGD Heritage Income Fund C 31/01/2025 SGD 03/02/2025 14/02/2025 0.0040
Fullerton SGD Income Fund A 31/12/2024 SGD 02/01/2025 15/01/2025 0.0109
Fullerton SGD Income Fund B 31/12/2024 SGD 02/01/2025 15/01/2025 0.0102
Fullerton SGD Income Fund C 31/12/2024 SGD 02/01/2025 15/01/2025 0.0110
Fullerton SGD Income Fund D 31/12/2024 USD 02/01/2025 15/01/2025 0.0106
Fullerton SGD Income Fund R 31/12/2024 SGD 02/01/2025 15/01/2025 0.0109
Fullerton SGD Savers Fund Class A2 31/12/2024 SGD 02/01/2025 15/01/2025 0.0075
Fullerton Short Term Interest Class C1 31/12/2024 SGD 02/01/2025 15/01/2025 0.0138
Fullerton Total Return Multi-Asset Income B 31/01/2025 SGD 03/02/2025 14/02/2025 0.0035
Fullerton Total Return Multi-Asset Income B 31/01/2025 SGD 03/02/2025 14/02/2025 0.0035
Fullerton Total Return Multi-Asset Income B1 31/01/2025 USD 03/02/2025 14/02/2025 0.0035
Fullerton Total Return Multi-Asset Income B1 31/01/2025 USD 03/02/2025 14/02/2025 0.0035
Fullerton Total Return Multi-Asset Income C 31/01/2025 SGD 03/02/2025 14/02/2025 0.0050
Fullerton Total Return Multi-Asset Income C 31/01/2025 SGD 03/02/2025 14/02/2025 0.0050
Fullerton Total Return Multi-Asset Income C1 31/01/2025 USD 03/02/2025 14/02/2025 0.0049
Fullerton Total Return Multi-Asset Income C1 31/01/2025 USD 03/02/2025 14/02/2025 0.0049
Fullerton USD Income Fund A 31/12/2024 SGD 02/01/2025 15/01/2025 0.0096
Fullerton USD Income Fund B 31/12/2024 USD 02/01/2025 15/01/2025 0.0100
Fullerton USD Income Fund C 31/12/2024 AUD 02/01/2025 15/01/2025 0.0098
Fullerton USD Income Fund D 31/12/2024 EUR 02/01/2025 15/01/2025 0.0096
Fullerton USD Income Fund D 30/09/2024 EUR 01/10/2024 14/10/2024 0.0096
Fullerton USD Income Fund E 31/12/2024 GBP 02/01/2025 15/01/2025 0.0098
Fullerton USD Income Fund F 31/12/2024 USD 02/01/2025 15/01/2025 0.0101
Fullerton USD Income Fund R 31/12/2024 USD 02/01/2025 15/01/2025 0.0100
Fullerton Wise income Class A 31/12/2024 SGD 02/01/2025 15/01/2025 0.0114
Fullerton Wise Income Class R 31/12/2024 SGD 02/01/2025 15/01/2025 0.0098
Fullerton Wise Income Class R1 31/12/2024 SGD 02/01/2025 15/01/2025 0.0154
Download the latest Fullerton Fund Dividend Payout
Download the latest Fullerton Lux Funds Dividend Payout

Any past payout yields and payments are not indicative of future payout yields and payments. Distributions (if any) may be declared at the absolute discretion of Fullerton and are not guaranteed. Distribution may be declared out of income and/or capital of the Fund, in accordance with the prospectus. Where distributions (if any) are declared in accordance with the prospectus, this may result in an immediate reduction of the net asset value per unit in the Fund.

Fullerton_Fund_Management
  • Careers
  • Contact us
  • Newsroom
  • Forms
  • Terms of use
  • Privacy notice & cookie policy
  • Legal documents
  • Sitemap

The advertisement or publication has not been reviewed by the Monetary Authority of Singapore

© 2017 - 2024 Fullerton Fund Management Company Ltd, UEN: 200312672W. All Rights Reserved