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Tri-Continental Corporation PFD $2.50 TY-P · Stock Open Tri-Continental Corporation PFD $2.50 in new tab

42.90 USD
Yield
10.64%
Safety Score
22
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Dividend
Dividend Yield10.64%
Annual dividends3.70 USD
Ex-Div. DateJune 16, 2026

DCF Valuation

Tweak assumptions to recompute fair value for Tri-Continental Corporation PFD $2.50 (TY-P)
Currency: USD
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Decimal (e.g., 0.30 = 30%).
Decimal (e.g., 0.04 = 4%).
Decimal (e.g., 0.20 = 20%).
Percent number (e.g., 3 = 3%).
Percent number (e.g., 10 = 10%).
Percent number (e.g., 5 = 5%).
DCF Result

Fair Value (DCF)
Current Price
Upside
WACC
Terminal PV
Σ PV of FCFs
Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

Tri-Continental Corporation PFD $2.50 Logo Tri-Continental Corporation PFD $2.50 Analysis (TY-P)

Financial Services Official Website Stock

Is Tri-Continental Corporation PFD $2.50 a good investment? Tri-Continental Corporation PFD $2.50 (TY-P) is currently trading at 42.90 USD.

For income investors, Tri-Continental Corporation PFD $2.50 pays a dividend yield of 10.64%.

Investor FAQ

Does Tri-Continental Corporation PFD $2.50 pay a dividend?

Yes, it pays an annual dividend of 3.70 USD (10.64% yield).

What asset class is Tri-Continental Corporation PFD $2.50?

Tri-Continental Corporation PFD $2.50 is classified as a Stock. You can compare it against its peer in the "Related Symbols" list.

Company Profile

Tri-Continental Corp is a United States-based closed-end management investment company. It invests to produce future growth of both capital and income while providing reasonable current income. The fund is divided into two equal segments namely, the equity segment uses quantitative models to select individual stocks whereas the Flexible capital income segment invests across a company's investable capital structure, including stocks, bonds, and convertible securities. The Fund invests in a range of sectors, which include consumer discretionary, consumer staples, energy, financials, healthcare, industrials, information technology, industrials, materials, real estate, telecommunication services, utilities, aerospace and defense, banking, chemicals, and others.

Exchange Ticker
NYSE TY-P
Trades
Dividend Yield
10.64%
Annual Dividends
3.70USD
Next Ex. Div Date
June 16, 2026
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
2027
1.25 USD
April 1, 2027 (estimated) 0.6250
Jan. 4, 2027 (estimated) 0.6250
2026
2.50 USD
Oct. 1, 2026 (estimated) 0.6250
July 1, 2026 0.6250
April 1, 2026 0.6250
Jan. 2, 2026 0.6250
2025
2.50 USD
Oct. 1, 2025 0.6250
July 1, 2025 0.6250
April 1, 2025 0.6250
Jan. 2, 2025 0.6250
2024
2.50 USD
Oct. 1, 2024 0.6250
July 1, 2024 0.6250
April 1, 2024 0.6250
Jan. 2, 2024 0.6250
2023
2.50 USD
Oct. 2, 2023 0.6250
July 3, 2023 0.6250
April 3, 2023 0.6250
Jan. 3, 2023 0.6250
2022
2.50 USD
Oct. 3, 2022 0.6250
July 1, 2022 0.6250
April 1, 2022 0.6250
Jan. 3, 2022 0.6250
2021
2.50 USD
Oct. 1, 2021 0.6250
July 1, 2021 0.6250
April 1, 2021 0.6250
Jan. 4, 2021 0.6250
2020
2.50 USD
Oct. 1, 2020 0.6250
July 1, 2020 0.6250
April 1, 2020 0.6250
Jan. 2, 2020 0.6250
2019
2.50 USD
Oct. 1, 2019 0.6250
July 1, 2019 0.6250
April 1, 2019 0.6250
Jan. 2, 2019 0.6250
2018
2.50 USD
Oct. 1, 2018 0.6250
July 2, 2018 0.6250
April 2, 2018 0.6250
Jan. 2, 2018 0.6250
2017
1.25 USD
Oct. 2, 2017 0.6250
June 15, 2017 0.6250
2016
1.88 USD
Sept. 15, 2016 0.6250
June 16, 2016 0.6250
March 10, 2016 0.6250
2015
2.50 USD
Dec. 10, 2015 0.6250
Sept. 10, 2015 0.6250
June 11, 2015 0.6250
March 12, 2015 0.6250
2014
2.50 USD
Dec. 11, 2014 0.6250
Sept. 11, 2014 0.6250
June 12, 2014 0.6250
March 13, 2014 0.6250
2013
2.50 USD
Dec. 12, 2013 0.6250
Sept. 12, 2013 0.6250
June 13, 2013 0.6250
March 14, 2013 0.6250
2012
2.50 USD
Dec. 14, 2012 0.6250
Sept. 14, 2012 0.6250
June 15, 2012 0.6250
March 16, 2012 0.6250
2011
2.50 USD
Dec. 8, 2011 0.6250
Sept. 8, 2011 0.6250
June 9, 2011 0.6250
March 10, 2011 0.6250
2010
2.50 USD
Dec. 9, 2010 0.6250
Sept. 9, 2010 0.6250
June 10, 2010 0.6250
March 18, 2010 0.6250
2009
2.50 USD
Dec. 10, 2009 0.6250
Sept. 10, 2009 0.6250
May 28, 2009 0.6250
March 12, 2009 0.6250
2008
2.50 USD
Nov. 25, 2008 0.6250
Sept. 5, 2008 0.6250
June 6, 2008 0.6250
March 14, 2008 0.6250
2007
2.50 USD
Dec. 6, 2007 0.6250
Sept. 7, 2007 0.6250
June 11, 2007 0.6250
March 16, 2007 0.6250
2006
2.50 USD
Dec. 8, 2006 0.6250
Sept. 15, 2006 0.6250
June 8, 2006 0.6250
March 13, 2006 0.6250
2005
2.50 USD
Dec. 2, 2005 0.6250
Sept. 16, 2005 0.6250
June 9, 2005 0.6250
March 17, 2005 0.6250
2004
2.50 USD
Dec. 2, 2004 0.6250
Sept. 16, 2004 0.6250
June 10, 2004 0.6250
March 18, 2004 0.6250
2003
2.50 USD
Dec. 4, 2003 0.6250
Sept. 12, 2003 0.6250
June 13, 2003 0.6250
March 14, 2003 0.6250
2002
2.50 USD
Dec. 5, 2002 0.6250
Sept. 13, 2002 0.6250
June 17, 2002 0.6250
March 15, 2002 0.6250
2001
2.50 USD
Dec. 6, 2001 0.6250
Sept. 14, 2001 0.6250
June 7, 2001 0.6250
March 16, 2001 0.6250
2000
2.50 USD
Dec. 7, 2000 0.6250
Sept. 15, 2000 0.6250
June 8, 2000 0.6250
March 16, 2000 0.6250
1999
2.50 USD
Dec. 8, 1999 0.6250
Sept. 10, 1999 0.6250
June 11, 1999 0.6250
March 16, 1999 0.6250
1998
2.50 USD
Dec. 9, 1998 0.6250
Sept. 10, 1998 0.6250
June 8, 1998 0.6250
March 17, 1998 0.6250
1997
2.50 USD
Dec. 10, 1997 0.6250
Sept. 18, 1997 0.6250
June 16, 1997 0.6250
March 12, 1997 0.6250
1996
2.50 USD
Dec. 11, 1996 0.6250
Sept. 19, 1996 0.6250
June 19, 1996 0.6250
March 20, 1996 0.6250
1995
2.50 USD
Dec. 13, 1995 0.6250
Sept. 20, 1995 0.6250
June 21, 1995 0.6250
March 20, 1995 0.6250
1994
2.50 USD
Dec. 12, 1994 0.6250
Sept. 19, 1994 0.6250
June 20, 1994 0.6250
March 14, 1994 0.6250
1993
2.50 USD
Dec. 13, 1993 0.6250
Sept. 15, 1993 0.6250
June 14, 1993 0.6250
March 15, 1993 0.6250
1992
2.50 USD
Dec. 9, 1992 0.6250
Sept. 14, 1992 0.6250
June 15, 1992 0.6250
March 16, 1992 0.6250
1991
2.50 USD
Dec. 16, 1991 0.6250
Sept. 16, 1991 0.6250
June 17, 1991 0.6250
March 18, 1991 0.6250
1990
2.50 USD
Dec. 17, 1990 0.6250
Sept. 17, 1990 0.6250
June 18, 1990 0.6250
March 19, 1990 0.6250
1989
1.88 USD
Dec. 18, 1989 0.6250
Sept. 19, 1989 0.6250
June 15, 1989 0.6250
Upcoming Dividends
Name Payment Date Status Amount
Tri-Continental Corporation PFD $2.50 Jul 01, 2026 0.625 USD
Tri-Continental Corporation PFD $2.50 Apr 01, 2026 0.625 USD
Tri-Continental Corporation PFD $2.50 Jan 02, 2026 0.625 USD
Tri-Continental Corporation PFD $2.50 Oct 01, 2025 0.625 USD
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