MCNNYSE
XAI Madison Equity Premium Income Fund
$5.64
ListedAug 2, 2004
SectorFinancial Services
IndustryAsset Management
CountryUnited States
Employees-
StateWI| CityMadison| Address550 Science Drive| Phone800-767-0300
XAI Madison Equity Premium Income Fund is a closed-ended equity mutual fund launched by Madison Investment Holdings, Inc. It is managed by Madison Asset Management, LLC. The fund invests in the public equity markets of the United States. It seeks to invest in stocks of companies operating across diversified sectors. The fund primarily invests in reasonably priced growth (GARP) stocks of large and mid-cap companies. It also writes covered call options to make its investments. The fund employs fundamental analysis with a bottom-up stock picking approach, focusing on such factors as PEG ratios (price-earnings ratio to growth rate), financial strength, and industry leadership to create its portfolio. It benchmarks the performance of its portfolio against the CBOE S&P 500 Buy/Write Index. The fund conducts in-house research to make its investments. It was formerly known as Madison/Claymore Covered Call & Equity Strategy Fund. XAI Madison Equity Premium Income Fund was formed on May 6, 2004 and is domiciled in the United States.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
18.9
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Div. Rate
$0.72
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Div. Yield
12.29%
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Payout Ratio
232.26%
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Max Consec. Div. Years
22 years
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Longest Consec. Div.
21 years
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Div. Coverage
100%
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Div. Stability Rate
0.00
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Div. Growth Rate
0.00%
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Score
80

Dividend History

Historical dividend payments by ex-dividend date.

Jun 15, 2026
$ 0.0600
May 15, 2026
$ 0.0600
Apr 15, 2026
$ 0.0600
Mar 16, 2026
$ 0.0600
Feb 17, 2026
$ 0.0600
Jan 15, 2026
$ 0.0600
Dec 15, 2025
$ 0.0600
Nov 17, 2025
$ 0.0600
Oct 15, 2025
$ 0.0600
Sep 16, 2025
$ 0.0600
Aug 15, 2025
$ 0.0600
Jul 15, 2025
$ 0.0600
Jun 16, 2025
$ 0.0600
May 15, 2025
$ 0.0600
Apr 15, 2025
$ 0.0600
Mar 17, 2025
$ 0.1800
Dec 17, 2024
$ 0.1800
Sep 17, 2024
$ 0.1800
Jun 14, 2024
$ 0.1800
Mar 14, 2024
$ 0.1800
Dec 14, 2023
$ 0.1800
Sep 14, 2023
$ 0.1800
Jun 15, 2023
$ 0.1800
Mar 15, 2023
$ 0.1800
Dec 15, 2022
$ 0.1800
Sep 15, 2022
$ 0.1800
Jun 15, 2022
$ 0.1800
Mar 15, 2022
$ 0.1800
Dec 15, 2021
$ 0.1800
Sep 15, 2021
$ 0.1800
Jun 15, 2021
$ 0.1800
Mar 15, 2021
$ 0.1800
Dec 15, 2020
$ 0.1800
Sep 15, 2020
$ 0.1800
Jun 15, 2020
$ 0.1800
Mar 16, 2020
$ 0.1800
Dec 16, 2019
$ 0.1800
Sep 17, 2019
$ 0.1800
Jun 17, 2019
$ 0.1800
Mar 14, 2019
$ 0.1800
Dec 14, 2018
$ 0.1800
Sep 17, 2018
$ 0.1800
Jun 14, 2018
$ 0.1800
Mar 14, 2018
$ 0.1800
Dec 14, 2017
$ 0.1800
Sep 14, 2017
$ 0.1800
Jun 14, 2017
$ 0.1800
Mar 15, 2017
$ 0.1800
Dec 14, 2016
$ 0.1800
Sep 14, 2016
$ 0.1800
Jun 15, 2016
$ 0.1800
Mar 15, 2016
$ 0.1800
Dec 15, 2015
$ 0.1800
Sep 15, 2015
$ 0.1800
Jun 16, 2015
$ 0.1800
Mar 17, 2015
$ 0.1800
Dec 15, 2014
$ 0.1800
Sep 15, 2014
$ 0.1800
Jun 16, 2014
$ 0.1800
Mar 17, 2014
$ 0.1800
Dec 13, 2013
$ 0.1800
Sep 16, 2013
$ 0.1800
Jun 14, 2013
$ 0.1800
Mar 15, 2013
$ 0.1800
Nov 13, 2012
$ 0.1800
Aug 13, 2012
$ 0.1800
May 11, 2012
$ 0.1800
Feb 13, 2012
$ 0.1800
Nov 10, 2011
$ 0.1800
Aug 11, 2011
$ 0.1800
May 11, 2011
$ 0.1800
Feb 11, 2011
$ 0.1800
Nov 10, 2010
$ 0.1800
Aug 11, 2010
$ 0.1800
May 12, 2010
$ 0.1800
Feb 10, 2010
$ 0.1800
Nov 10, 2009
$ 0.1960
Aug 12, 2009
$ 0.1800
May 13, 2009
$ 0.1800
Feb 11, 2009
$ 0.2400
Nov 12, 2008
$ 0.2400
Aug 13, 2008
$ 0.2800
May 13, 2008
$ 0.3300
Feb 13, 2008
$ 0.3300
Nov 13, 2007
$ 0.3300
Aug 13, 2007
$ 0.3300
May 11, 2007
$ 0.3300
Feb 13, 2007
$ 0.3300
Nov 13, 2006
$ 0.3300
Aug 11, 2006
$ 0.3300
May 11, 2006
$ 0.3300
Feb 13, 2006
$ 0.3300
Nov 10, 2005
$ 0.3300
Aug 11, 2005
$ 0.3300
May 11, 2005
$ 0.3300
Feb 11, 2005
$ 0.3300
Nov 10, 2004
$ 0.3000

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