CRM Mid Cap Value Fund Institutional Class logo

CRM Mid Cap Value Fund Institutional Class (CRIMX)

Market Closed
10 Aug, 13:31
NASDAQ (NMS) NASDAQ (NMS)
$
27. 15
-0.38
-1.3803%
After Hours
$
27. 51
+0.36 +1.326%
613M Market Cap
1.1% Div Yield
0 Volume
$ 27.53
Previous Close
Add Transaction
Day Range
27.15 27.15
Year Range
22.73 28.13
Want to track CRIMX and more in your Portfolio? 🎯
Sign up for Marketlog, a portfolio tracker that will exceed your expectations!
Name Ex-Dividend Date Dividend Payment Date Record Date Declaration Date Frequency
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
8 Dec 2023
7 Dec 2023
$1.43
8 Dec 2023
6 Dec 2023
6 Dec 2023
Annual
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
9 Dec 2022
8 Dec 2022
$0.99
9 Dec 2022
7 Dec 2022
8 Dec 2022
Annual
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
10 Dec 2021
9 Dec 2021
$5.04
10 Dec 2021
8 Dec 2021
9 Dec 2021
Other
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
11 Dec 2020
10 Dec 2020
$0.49
11 Dec 2020
9 Dec 2020
10 Dec 2020
Annual
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
13 Dec 2019
12 Dec 2019
$0.67
13 Dec 2019
11 Dec 2019
12 Dec 2019
Other
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
14 Dec 2018
13 Dec 2018
$1.9
14 Dec 2018
12 Dec 2018
13 Dec 2018
Other
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
15 Dec 2017
14 Dec 2017
$4.37
15 Dec 2017
13 Dec 2017
14 Dec 2017
Other
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
9 Dec 2016
8 Dec 2016
$0.91
9 Dec 2016
7 Dec 2016
8 Dec 2016
Other
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
11 Dec 2015
10 Dec 2015
$7.93
11 Dec 2015
9 Dec 2015
10 Dec 2015
Other
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
12 Dec 2014
11 Dec 2014
$8.22
12 Dec 2014
10 Dec 2014
11 Dec 2014
Other
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
13 Dec 2013
12 Dec 2013
$6.07
13 Dec 2013
11 Dec 2013
12 Dec 2013
Other
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
13 Dec 2012
12 Dec 2012
$0.4
13 Dec 2012
11 Dec 2012
12 Dec 2012
Annual
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
15 Dec 2011
14 Dec 2011
$0.2
15 Dec 2011
13 Dec 2011
-
Annual
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
15 Dec 2010
14 Dec 2010
$0.17
15 Dec 2010
13 Dec 2010
-
Annual
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
16 Dec 2009
15 Dec 2009
$0.12
16 Dec 2009
14 Dec 2009
-
Annual
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
18 Dec 2008
17 Dec 2008
$0.28
18 Dec 2008
16 Dec 2008
-
Annual
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
18 Dec 2007
17 Dec 2007
$3.27
18 Dec 2007
14 Dec 2007
-
Other
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
19 Dec 2006
18 Dec 2006
$1.86
19 Dec 2006
15 Dec 2006
-
Other
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
16 Dec 2005
15 Dec 2005
$1.03
16 Dec 2005
14 Dec 2005
-
Other
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
17 Dec 2004
16 Dec 2004
$1.15
17 Dec 2004
15 Dec 2004
-
Other
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
17 Dec 2003
16 Dec 2003
$0.02
17 Dec 2003
15 Dec 2003
-
Annual
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
18 Dec 2002
17 Dec 2002
$0.08
18 Dec 2002
16 Dec 2002
-
Other
CRM Mid Cap Value Fund Institutional Class logo
CRIMX Paid
CRM Mid Cap Value Fund Institutional Class
19 Dec 2001
18 Dec 2001
$1.18
19 Dec 2001
17 Dec 2001
-
Other

CRIMX Dividend FAQ

What is the dividend yield?

The current dividend yield for CRIMX is 1.1%, based on the most recent dividend payment and the current stock price of $27.15 on the NASDAQ (NMS).

How often are dividends paid?

Dividends are paid on a annual basis, with typical payment being once a year, usually december.

When is the next dividend payment date?

CRM Mid Cap Value Fund Institutional Class has not announced any upcoming dividend.

What is the dividend history?

The company has a dividend payment history that includes 21 years of consistent payments. The most recent payment was 1.4259 per share on 2023-12-07.

What is the average annual dividend growth rate?

The average annual dividend growth rate over the past 21 years is approximately 0.92%, reflecting the CRIMX's commitment to rewarding shareholders.

How can I track CRIMX dividends?

You can easily track CRIMX dividend payments using our Dividend Tracker. It helps you monitor upcoming payment dates, yields, history, and more - all in one place.