Dividend Calendar

Monday, May 12, 2025

Location

Company

Ex-Dividend Date

Dividend

Type

Payment Date

Yield

Olin Corporation

May 15, 2025

0.2

Quarterly

Jun 13, 2025

3.50%

Olin Corporation

May 15, 2025 Ex-Dividend Date

QuarterlyType

Jun 13, 2025 Payment Date

0.2Dividend

3.50%Yield

Otter Tail Corporation

May 15, 2025

0.525

Quarterly

Jun 10, 2025

2.68%

Otter Tail Corporation

May 15, 2025 Ex-Dividend Date

QuarterlyType

Jun 10, 2025 Payment Date

0.525Dividend

2.68%Yield

Pagegroup PLC

May 15, 2025

11.75

Final

Jun 23, 2025

6.08%

Pagegroup PLC

May 15, 2025 Ex-Dividend Date

FinalType

Jun 23, 2025 Payment Date

11.75Dividend

6.08%Yield

Paramount Resources Ltd.

May 15, 2025

0.05

Monthly

May 30, 2025

3.51%

Paramount Resources Ltd.

May 15, 2025 Ex-Dividend Date

MonthlyType

May 30, 2025 Payment Date

0.05Dividend

3.51%Yield

PBF Energy Inc

May 15, 2025

0.275

Quarterly

May 29, 2025

5.29%

PBF Energy Inc

May 15, 2025 Ex-Dividend Date

QuarterlyType

May 29, 2025 Payment Date

0.275Dividend

5.29%Yield

PennantPark Investment Corporation

May 15, 2025

0.08

Monthly

Jun 02, 2025

14.46%

PennantPark Investment Corporation

May 15, 2025 Ex-Dividend Date

MonthlyType

Jun 02, 2025 Payment Date

0.08Dividend

14.46%Yield

Pool Corporation

May 15, 2025

1.25

Quarterly

May 29, 2025

1.57%

Pool Corporation

May 15, 2025 Ex-Dividend Date

QuarterlyType

May 29, 2025 Payment Date

1.25Dividend

1.57%Yield

S&T Bancorp Inc

May 15, 2025

0.34

Quarterly

May 29, 2025

3.51%

S&T Bancorp Inc

May 15, 2025 Ex-Dividend Date

QuarterlyType

May 29, 2025 Payment Date

0.34Dividend

3.51%Yield

Selective Insurance Group Inc

May 15, 2025

0.38

Quarterly

Jun 02, 2025

1.68%

Selective Insurance Group Inc

May 15, 2025 Ex-Dividend Date

QuarterlyType

Jun 02, 2025 Payment Date

0.38Dividend

1.68%Yield

Source Capital Closed Fund

May 15, 2025

0.2083

Monthly

May 30, 2025

5.92%

Source Capital Closed Fund

May 15, 2025 Ex-Dividend Date

MonthlyType

May 30, 2025 Payment Date

0.2083Dividend

5.92%Yield

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