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Stone Harbor Emerging Markets Income Fund | EDF

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Fund Details
Ticker Symbol EDF
Dividends Paid Monthly
Daily Prices
as of 01/24/2020
Net Asset Value (NAV) $9.04
Closing Price $13.14
Premium / Discount (%) 45.35%
Distribution Rate
as of 01/24/2020
Distribution Rate on Market Price 16.44%
Investor Documents
Holdings

1-877-206-0791