GCVNYSE
The Gabelli Convertible and Income Securities Fund Inc.
$4.60
ListedMar 31, 1995
SectorFinancial Services
IndustryAsset Management
CountryUnited States
Employees-
StateNY| CityRye| AddressOne Corporate Center| Phone914-921-5000
The Gabelli Convertible and Income Securities Fund Inc. is a closed-ended balanced mutual fund launched by GAMCO Investors, Inc. The fund is managed by Gabelli Funds, LLC. It invests in public equity and fixed income markets. The fund seeks to invest in stocks of companies operating across diversified sectors. It primarily invests in convertible securities and other debt and equity securities. The fund benchmarks the performance of its portfolio against the Standard & Poor's 500 Index, Barclays Government/Credit Bond Index, and Lipper Convertible Securities Fund Average. It was formerly known as Gabelli Convertible Securities Fund Inc. The Gabelli Convertible and Income Securities Fund Inc. was formed on December 19, 1988 and is domiciled in the United States.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
4.3
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Div. Rate
$0.48
?
Div. Yield
10.28%
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Payout Ratio
44.44%
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Max Consec. Div. Years
31 years
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Longest Consec. Div.
30 years
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Div. Coverage
100%
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Div. Stability Rate
0.45
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Div. Growth Rate
0.00%
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Score
66

Dividend History

Historical dividend payments by ex-dividend date.

Jun 15, 2026
$ 0.1200
Mar 17, 2026
$ 0.1200
Dec 12, 2025
$ 0.1200
Sep 16, 2025
$ 0.1200
Jun 13, 2025
$ 0.1200
Mar 17, 2025
$ 0.1200
Dec 13, 2024
$ 0.1200
Sep 16, 2024
$ 0.1200
Jun 13, 2024
$ 0.1200
Mar 13, 2024
$ 0.1200
Dec 14, 2023
$ 0.1200
Sep 14, 2023
$ 0.1200
Jun 14, 2023
$ 0.1200
Mar 16, 2023
$ 0.1200
Dec 8, 2022
$ 0.1200
Sep 15, 2022
$ 0.1200
Jun 14, 2022
$ 0.1200
Mar 16, 2022
$ 0.1200
Dec 29, 2021
$ 0.5600
Dec 9, 2021
$ 0.1700
Sep 15, 2021
$ 0.1200
Jun 15, 2021
$ 0.1200
Mar 16, 2021
$ 0.1200
Dec 10, 2020
$ 0.1200
Sep 15, 2020
$ 0.1200
Jun 15, 2020
$ 0.1200
Mar 16, 2020
$ 0.1200
Dec 12, 2019
$ 0.1200
Sep 13, 2019
$ 0.1200
Jun 13, 2019
$ 0.1200
Mar 14, 2019
$ 0.1200
Dec 6, 2018
$ 0.1200
Sep 13, 2018
$ 0.1200
Jun 14, 2018
$ 0.1200
Mar 14, 2018
$ 0.1200
Dec 7, 2017
$ 0.1200
Sep 14, 2017
$ 0.1200
Jun 14, 2017
$ 0.1200
Mar 15, 2017
$ 0.1200
Dec 7, 2016
$ 0.0500
Sep 14, 2016
$ 0.1200
Jun 14, 2016
$ 0.1200
Mar 14, 2016
$ 0.1200
Dec 9, 2015
$ 0.1200
Sep 14, 2015
$ 0.1200
Jun 12, 2015
$ 0.1200
Mar 13, 2015
$ 0.1200
Dec 10, 2014
$ 0.1500
Sep 12, 2014
$ 0.1200
Jun 12, 2014
$ 0.1200
Mar 13, 2014
$ 0.1200
Dec 11, 2013
$ 0.1200
Sep 12, 2013
$ 0.1200
Jun 12, 2013
$ 0.1200
Mar 12, 2013
$ 0.1200
Dec 12, 2012
$ 0.1200
Sep 12, 2012
$ 0.1200
Jun 13, 2012
$ 0.1200
Mar 14, 2012
$ 0.1200
Dec 9, 2011
$ 0.1200
Sep 14, 2011
$ 0.1200
Jun 14, 2011
$ 0.1200
Mar 15, 2011
$ 0.1200
Dec 10, 2010
$ 0.1400
Sep 14, 2010
$ 0.1100
Jun 14, 2010
$ 0.1100
Mar 15, 2010
$ 0.1100
Dec 10, 2009
$ 0.1200
Sep 14, 2009
$ 0.1000
Jun 12, 2009
$ 0.1000
Mar 13, 2009
$ 0.1000
Dec 10, 2008
$ 0.2000
Sep 12, 2008
$ 0.2000
Jun 12, 2008
$ 0.2000
Mar 13, 2008
$ 0.2000
Dec 10, 2007
$ 0.2000
Sep 12, 2007
$ 0.2000
Jun 13, 2007
$ 0.2000
Mar 14, 2007
$ 0.2000
Dec 11, 2006
$ 0.2000
Sep 13, 2006
$ 0.2000
Jun 14, 2006
$ 0.2000
Mar 15, 2006
$ 0.2000
Dec 13, 2005
$ 0.2000
Sep 14, 2005
$ 0.2000
Jun 14, 2005
$ 0.2000
Mar 14, 2005
$ 0.2000
Dec 14, 2004
$ 0.2000
Sep 14, 2004
$ 0.2000
Jun 14, 2004
$ 0.2000
Mar 15, 2004
$ 0.2000
Dec 12, 2003
$ 0.2000
Sep 12, 2003
$ 0.2000
Jun 12, 2003
$ 0.2000
Mar 13, 2003
$ 0.2000
Dec 10, 2002
$ 0.1500
Sep 12, 2002
$ 0.2000
Jun 12, 2002
$ 0.2000
Mar 13, 2002
$ 0.2000
Dec 12, 2001
$ 0.2100
Jun 13, 2001
$ 0.2000
Mar 14, 2001
$ 0.2000
Dec 13, 2000
$ 0.7000
Sep 13, 2000
$ 0.2000
Jun 14, 2000
$ 0.2000
Mar 15, 2000
$ 0.2000
Dec 15, 1999
$ 0.4300
Sep 15, 1999
$ 0.2000
Jun 16, 1999
$ 0.2000
Mar 17, 1999
$ 0.2000
Dec 15, 1998
$ 0.3200
Sep 16, 1998
$ 0.2000
Jun 16, 1998
$ 0.2000
Mar 13, 1998
$ 0.2000
Dec 15, 1997
$ 0.6000
Sep 15, 1997
$ 0.1200
Jun 18, 1997
$ 0.1200
Mar 18, 1997
$ 0.1200
Dec 17, 1996
$ 0.3750
Sep 12, 1996
$ 0.1200
Jun 13, 1996
$ 0.1200
Mar 7, 1996
$ 0.1200
Dec 20, 1995
$ 0.7500
Sep 13, 1995
$ 0.2000

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