FFSL FFSLX Salient Select Income Fund Investor Class 27 Sep 2022 | $0.28 Dividend | 28 Sep 2022 Payment Date | 26 Sep 2022 Record Date | - Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 27 Jun 2022 | $0.24 Dividend | 28 Jun 2022 Payment Date | 24 Jun 2022 Record Date | 27 Jun 2022 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 28 Mar 2022 | $0.25 Dividend | 28 Mar 2022 Payment Date | 25 Mar 2022 Record Date | 28 Mar 2022 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 28 Dec 2021 | $0.26 Dividend | 28 Dec 2021 Payment Date | 27 Dec 2021 Record Date | 28 Dec 2021 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 27 Sep 2021 | $0.26 Dividend | 27 Sep 2021 Payment Date | 24 Sep 2021 Record Date | - Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 24 Jun 2021 | $0.28 Dividend | 24 Jun 2021 Payment Date | 23 Jun 2021 Record Date | - Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 25 Mar 2021 | $0.23 Dividend | 25 Mar 2021 Payment Date | 24 Mar 2021 Record Date | 25 Mar 2021 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 28 Dec 2020 | $0.27 Dividend | 29 Dec 2020 Payment Date | 24 Dec 2020 Record Date | 28 Dec 2020 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 24 Sep 2020 | $0.22 Dividend | 25 Sep 2020 Payment Date | 23 Sep 2020 Record Date | 24 Sep 2020 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 25 Jun 2020 | $0.21 Dividend | 25 Jun 2020 Payment Date | 24 Jun 2020 Record Date | 25 Jun 2020 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Mar 2020 | $0.23 Dividend | 26 Mar 2020 Payment Date | 25 Mar 2020 Record Date | 26 Mar 2020 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Dec 2019 | $0.14 Dividend | 26 Dec 2019 Payment Date | 24 Dec 2019 Record Date | 26 Dec 2019 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 25 Sep 2019 | $0.11 Dividend | 25 Sep 2019 Payment Date | 24 Sep 2019 Record Date | 25 Sep 2019 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 25 Jun 2019 | $0.28 Dividend | 25 Jun 2019 Payment Date | 24 Jun 2019 Record Date | 25 Jun 2019 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Mar 2019 | $0.25 Dividend | 26 Mar 2019 Payment Date | 25 Mar 2019 Record Date | 26 Mar 2019 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Dec 2018 | $0.3 Dividend | 26 Dec 2018 Payment Date | 24 Dec 2018 Record Date | 26 Dec 2018 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 25 Sep 2018 | $0.31 Dividend | 25 Sep 2018 Payment Date | 24 Sep 2018 Record Date | 25 Sep 2018 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Jun 2018 | $0.27 Dividend | 26 Jun 2018 Payment Date | 25 Jun 2018 Record Date | 26 Jun 2018 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Mar 2018 | $0.27 Dividend | 26 Mar 2018 Payment Date | 23 Mar 2018 Record Date | 26 Mar 2018 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Dec 2017 | $0.29 Dividend | 26 Dec 2017 Payment Date | 22 Dec 2017 Record Date | 26 Dec 2017 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 7 Dec 2017 | $0.89 Dividend | 7 Dec 2017 Payment Date | 6 Dec 2017 Record Date | 7 Dec 2017 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Sep 2017 | $0.29 Dividend | 26 Sep 2017 Payment Date | 25 Sep 2017 Record Date | 26 Sep 2017 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 27 Jun 2017 | $0.32 Dividend | 27 Jun 2017 Payment Date | 26 Jun 2017 Record Date | 27 Jun 2017 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 28 Mar 2017 | $0.24 Dividend | 28 Mar 2017 Payment Date | 27 Mar 2017 Record Date | 28 Mar 2017 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 27 Dec 2016 | $0.25 Dividend | 27 Dec 2016 Payment Date | 23 Dec 2016 Record Date | 27 Dec 2016 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 8 Dec 2016 | $0.42 Dividend | 8 Dec 2016 Payment Date | 7 Dec 2016 Record Date | 8 Dec 2016 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 27 Sep 2016 | $0.26 Dividend | 27 Sep 2016 Payment Date | 26 Sep 2016 Record Date | 27 Sep 2016 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 27 Jun 2016 | $0.32 Dividend | 27 Jun 2016 Payment Date | 24 Jun 2016 Record Date | 27 Jun 2016 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 28 Mar 2016 | $0.29 Dividend | 28 Mar 2016 Payment Date | 24 Mar 2016 Record Date | 28 Mar 2016 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 28 Dec 2015 | $0.34 Dividend | 28 Dec 2015 Payment Date | 24 Dec 2015 Record Date | 28 Dec 2015 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 8 Dec 2015 | $1.61 Dividend | 8 Dec 2015 Payment Date | 7 Dec 2015 Record Date | 8 Dec 2015 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 25 Sep 2015 | $0.33 Dividend | 25 Sep 2015 Payment Date | 24 Sep 2015 Record Date | 25 Sep 2015 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 25 Jun 2015 | $0.27 Dividend | 25 Jun 2015 Payment Date | 24 Jun 2015 Record Date | 25 Jun 2015 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Mar 2015 | $0.22 Dividend | 26 Mar 2015 Payment Date | 25 Mar 2015 Record Date | 26 Mar 2015 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Dec 2014 | $0.34 Dividend | 26 Dec 2014 Payment Date | 24 Dec 2014 Record Date | 26 Dec 2014 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 8 Dec 2014 | $0.67 Dividend | 8 Dec 2014 Payment Date | 5 Dec 2014 Record Date | 8 Dec 2014 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 25 Sep 2014 | $0.31 Dividend | 25 Sep 2014 Payment Date | 24 Sep 2014 Record Date | 25 Sep 2014 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 25 Jun 2014 | $0.3 Dividend | 25 Jun 2014 Payment Date | 24 Jun 2014 Record Date | 25 Jun 2014 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Mar 2014 | $0.35 Dividend | 26 Mar 2014 Payment Date | 25 Mar 2014 Record Date | 26 Mar 2014 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Dec 2013 | $0.41 Dividend | 26 Dec 2013 Payment Date | 24 Dec 2013 Record Date | 26 Dec 2013 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 6 Dec 2013 | $0.42 Dividend | 6 Dec 2013 Payment Date | 5 Dec 2013 Record Date | 6 Dec 2013 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 25 Sep 2013 | $0.38 Dividend | 25 Sep 2013 Payment Date | 24 Sep 2013 Record Date | 25 Sep 2013 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 25 Jun 2013 | $0.37 Dividend | 25 Jun 2013 Payment Date | 24 Jun 2013 Record Date | 25 Jun 2013 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 25 Mar 2013 | $0.36 Dividend | 25 Mar 2013 Payment Date | 22 Mar 2013 Record Date | 25 Mar 2013 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Dec 2012 | $0.44 Dividend | 26 Dec 2012 Payment Date | 24 Dec 2012 Record Date | 26 Dec 2012 Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 25 Sep 2012 | $0.43 Dividend | 25 Sep 2012 Payment Date | 24 Sep 2012 Record Date | - Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 26 Jun 2012 | $0.44 Dividend | 26 Jun 2012 Payment Date | 25 Jun 2012 Record Date | - Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 27 Mar 2012 | $0.45 Dividend | 27 Mar 2012 Payment Date | 26 Mar 2012 Record Date | - Declaration Date |
FFSL FFSLX Salient Select Income Fund Investor Class 29 Dec 2011 | $0.45 Dividend | 29 Dec 2011 Payment Date | 28 Dec 2011 Record Date | - Declaration Date |