2006 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 3, 2006
Mar. 20, 2006
$0.23
$8.4904
Jun. 2, 2006
Jun. 19, 2006
$0.22
$7.4766
Sep. 1, 2006
Sep. 18, 2006
$0.21
$7.6818
Nov. 10, 2006
Jan. 2, 2007
$0.22
$8.07
Total
$0.88
2005 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Feb. 4, 2005
Mar. 21, 2005
$0.22
$8.9300
May 13, 2005
Jun. 27, 2005
$0.21
$8.70
Aug. 5, 2005
Sep. 26, 2005
$0.23
$8.81
Nov. 10, 2005
Jan. 3, 2006
$0.21
$8.55
Total
$0.87
2004 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Feb. 27, 2004
Mar. 22, 2004
$0.24
$9.3575
May 17, 2004
Jun. 28, 2004
$0.22
$8.92
Aug. 13, 2004
Oct. 04, 2004
$0.21
$8.60
Nov. 12, 2004
Jan. 3, 2005
$0.22
$9.06
Total
$0.89
Rights offering completed in July 2004. One share offered at $8.34 for every 10 shares owned. The number of shares offered was increased by an additional 25% to cover a portion of the over-subscription requests.
2003 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Feb. 28, 2003
Mar. 17, 2003
$0.17
$6.9177
May 16, 2003
Jun. 30, 2003
$0.19
$8.01
Aug. 15, 2003
Oct. 6, 2003
$0.20
$8.53
Nov. 14, 2003
Jan. 2, 2004
$0.22
$8.8730
Total
$0.78
2002 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 1, 2002
Mar. 18, 2002
$0.25
$11.0580
May 17, 2002
Jul. 1, 2002
$0.24
$8.67
Aug. 30, 2002
Sep. 16, 2002
$0.20
$7.31
Nov. 15, 2002
Jan. 2, 2003
$0.19
$7.07
Total
$0.88
Rights offering completed in May 2002. One share offered at $8.99 for every 10 shares owned.
2001 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 2, 2001
Mar. 19, 2001
$0.33
$11.8180
May 18, 2001
Jul. 2, 2001
$0.31
$12.2930
Aug. 17, 2001
Oct. 9, 2001
$0.31
$8.9680
Nov. 16, 2001
Jan. 2, 2002
$0.25
$10.5260
Total
$1.20
2000 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 3, 2000
Mar. 20, 2000
$0.33
$11.2167
Jun. 2, 2000
Jun. 19, 2000
$0.36
$12.5570
Sep. 1, 2000
Sep. 18, 2000
$0.37
$12.8640
Nov. 17, 2000
Jan. 2, 2001
$0.36
$12.5625
Total
$1.42
1999 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 5, 1999
Mar. 22, 1999
$0.34
$13.0267
May 21, 1999
Jul. 6, 1999
$0.37
$13.2500
Aug. 20, 1999
Oct. 4, 1999
$0.34
$12.2500
Nov. 19, 1999
Jan. 3, 2000
$0.34
$10.9375
Total
$1.39
1998 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 6, 1998
Mar. 23, 1998
$0.35
$14.354
May 22, 1998
Jul. 6, 1998
$0.37
$13.125
Aug. 21, 1998
Oct. 5, 1998
$0.34
$11.688
Nov. 20, 1998
Jan. 4, 1999
$0.34
$12.500
Total
$1.40
Rights offering completed in April 1998. One share offered at $12.83 for every 20 shares owned.
1997 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 7, 1997
Mar. 24, 1997
$0.32
$12.009
May 23, 1997
Jul. 7, 1997
$0.32
$12.875
Aug. 22, 1997
Oct. 6, 1997
$0.35
$13.813
Nov. 21, 1997
Jan. 5, 1998
$0.34
$13.250
Total
$1.33
Cost basis adjustments are needed as the result of retaining net long-term capital gains:
Record Dates: 12/31/97 | $0.6700 per share
1996 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 8, 1996
Mar. 25, 1996
$0.29
$11.434
May 31, 1996
Jul. 2, 1996
$0.30
$10.750
Aug. 30, 1996
Oct. 7, 1996
$0.28
$11.000
Nov. 21, 1996
Jan. 6, 1997
$0.31
$11.250
Total
$1.18
Cost basis adjustments are needed as the result of retaining net long-term capital gains:
Record Dates: 12/31/96 | $0.2470 per share
1995 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 3, 1995
Mar. 20, 1995
$0.24
$9.594
Jun. 2, 1995
Jun. 19, 1995
$0.25
$10.106
Sep. 1, 1995
Oct. 10, 1995
$0.27
$10.375
Dec. 1, 1995
Jan. 8, 1996
$0.28
$10.875
Total
$1.04
1994 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 4, 1994
Mar. 21, 1994
$0.26
$10.390
Jun. 3, 1994
Jun. 20, 1994
$0.25
$9.975
Sep. 2, 1994
Sep. 19, 1994
$0.25
$9.697
Dec. 2, 1994
Jan. 9, 1995
$0.24
$8.500
Total
$1.00
Rights offering completed in September 1994. One share offered at $9.14 for every 15 shares owned.
1993 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 5, 1993
Mar. 22, 1993
$0.27
$10.600
Jun. 4, 1993
Jun. 21, 1993
$0.26
$10.450
Sep. 3, 1993
Oct. 8, 1993
$0.27
$10.790
Dec. 3, 1993
Jan. 10, 1994
$0.27
$10.570
Total
$1.07
Rights offering completed in October 1993. One share offered at $10.41 for every 15 shares owned.
Cost basis adjustments are needed as the result of retaining net long-term capital gains:

Record Dates: 12/31/93 | $0.3412 per share
1992 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Feb 20, 1992
Apr. 2, 1992
$0.27
$10.470
Jun. 26, 1992
Jul. 13, 1992
$0.27
$10.493
Sep. 4, 1992
Oct. 9, 1992
$0.26
$10.375
Dec. 4, 1992
Jan. 11, 1993
$0.27
$10.820
Total
$1.07
Rights offering completed in April 1992. One share offered at $10.05 for every 10 shares owned.
1991 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 8, 1991
Mar. 25, 1991
$0.25
$9.271
Jun. 7, 1991
Jun. 24, 1991
$0.25
$9.530
Sep. 6, 1991
Sep. 23, 1991
$0.26
$9.829
Dec. 3, 1991
Jan. 6, 1992
$0.26
$10.250
Total
$1.02
1990 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 16, 1990
Apr. 2 1990
$0.22
$7.999
Jun. 15, 1990
Jul. 2, 1990
$0.25
$8.491
Sep. 14, 1990
Oct. 1, 1990
$0.22
$7.292
Oct. 7, 1990
Dec. 24, 1990
$0.21
$7.875
Total
$0.90
1989 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 17, 1989
Apr. 3, 1989
$0.22
$7.420
Jun. 16, 1989
Jul. 3, 1989
$0.24
$7.840
Sep. 15, 1989
Oct. 2, 1989
$0.25
$8.304
Dec. 8, 1989
Dec. 26, 1989
$0.24
$8.330
Total
$0.95
1988 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 18, 1988
Apr. 4, 1988
$0.04
$6.886
Jun. 20, 1988
Jul. 5, 1988
$0.20
$7.030
Sep. 16, 1988
Oct. 3, 1988
$0.20
$7.122
Dec. 9, 1988
Dec. 26, 1988
$0.20
$7.345
Total
$0.64
The Fund's current 10% distribution policy began in the 2nd quarter of 1988.
1987 Dividend Information
Record Date
Payment Date
Dividend Amount
Reinvestment Price
Mar. 20, 1987
Apr. 2, 1987
$0.05
$9.702
Jun. 19, 1987
Jul. 1, 1987
$0.03
$9.050
Aug. 11, 1987
Aug. 21, 1987
$0.60
$9.998
Sep. 25, 1987
Oct. 5, 1987
$0.25
$9.031
Dec. 11, 1987 Dec. 28, 1987
$0.25
$6.461
Total
$0.88
Distribution Policy
The current policy, in effect since 1988, is to pay distributions on its common shares totaling approximately 10 percent of its net asset value per year, payable in four quarterly installments of 2.5% of the Fund's net asset value at the close of the New York Stock Exchange on the Friday prior to each quarterly declaration date. The fixed distributions are not related to the amount of the Fund's net investment income or net realized capital gains or losses and may be taxed as ordinary income up to the amount of the Fund's current and accumulated earnings and profits.

If, for any calendar year, the total distributions required by the 10 percent pay-out policy exceed the Fund's net investment income and net realized capital gains, the excess will generally be treated as non-taxable return of capital, reducing the shareholder's adjusted basis in his or her shares.

If the Fund's net investment income and net realized capital gains for any year exceed the amount required to be distributed under the 10 percent pay-out policy, the Fund may, in its discretion, retain and not distribute net realized capital gains and pay income tax thereon to the extent of such excess. The Fund retained such excess gains in 1993, 1996 and 1997.

An investment in the Fund involves risk, including possible loss of principal. This investment may not be suitable for all investors. ©2008 Liberty All-Star Funds. All rights reserved.