Dividend Calendar

Monday, June 16, 2025

Accruals and write-offs for dividends are processed within one calendar month after the Payment Date.

Location

Country

Company

Name of the trading instrument

Ex-Dividend
Date

The last day to buy/sell an asset

Dividend

Preliminary value of the dividend per
one share, quote currency

Type

Dividend type

Payment
Date

Register closing date

Yield

Dividend yield, %

Quanex Building Products

Jun 16, 2025

0.08

Quarterly

Jun 30, 2025

1.69%

Country

Quanex Building Products

Name of the trading instrument

Jun 16, 2025

Ex-Dividend Date

The last day to buy/sell an asset

QuarterlyQuarter

Type

Dividend type

Jun 30, 2025

Payment Date

Register closing date

0.08

Dividend

Preliminary value of the dividend per
one share, quote currency

1.69%

Yield

Dividend yield, %

Rayonier Inc

Jun 16, 2025

0.2725

Quarterly

Jun 30, 2025

4.65%

Country

Rayonier Inc

Name of the trading instrument

Jun 16, 2025

Ex-Dividend Date

The last day to buy/sell an asset

QuarterlyQuarter

Type

Dividend type

Jun 30, 2025

Payment Date

Register closing date

0.2725

Dividend

Preliminary value of the dividend per
one share, quote currency

4.65%

Yield

Dividend yield, %

RCI Hospitality Holdings Inc

Jun 16, 2025

0.07

Quarterly

Jun 30, 2025

0.67%

Country

RCI Hospitality Holdings Inc

Name of the trading instrument

Jun 16, 2025

Ex-Dividend Date

The last day to buy/sell an asset

QuarterlyQuarter

Type

Dividend type

Jun 30, 2025

Payment Date

Register closing date

0.07

Dividend

Preliminary value of the dividend per
one share, quote currency

0.67%

Yield

Dividend yield, %

Renasant Corporation

Jun 16, 2025

0.22

Quarterly

Jun 30, 2025

2.46%

Country

Renasant Corporation

Name of the trading instrument

Jun 16, 2025

Ex-Dividend Date

The last day to buy/sell an asset

QuarterlyQuarter

Type

Dividend type

Jun 30, 2025

Payment Date

Register closing date

0.22

Dividend

Preliminary value of the dividend per
one share, quote currency

2.46%

Yield

Dividend yield, %

Sixth Street Specialty Lending Inc

Jun 16, 2025

0.46

Quarterly

Jun 30, 2025

7.87%

Country

Sixth Street Specialty Lending Inc

Name of the trading instrument

Jun 16, 2025

Ex-Dividend Date

The last day to buy/sell an asset

QuarterlyQuarter

Type

Dividend type

Jun 30, 2025

Payment Date

Register closing date

0.46

Dividend

Preliminary value of the dividend per
one share, quote currency

7.87%

Yield

Dividend yield, %

Stewart Information Services Corp

Jun 16, 2025

0.5

Quarterly

Jun 30, 2025

3.25%

Country

Stewart Information Services Corp

Name of the trading instrument

Jun 16, 2025

Ex-Dividend Date

The last day to buy/sell an asset

QuarterlyQuarter

Type

Dividend type

Jun 30, 2025

Payment Date

Register closing date

0.5

Dividend

Preliminary value of the dividend per
one share, quote currency

3.25%

Yield

Dividend yield, %

Stock Yards Bancorp Inc

Jun 16, 2025

0.31

Quarterly

Jul 01, 2025

1.63%

Country

Stock Yards Bancorp Inc

Name of the trading instrument

Jun 16, 2025

Ex-Dividend Date

The last day to buy/sell an asset

QuarterlyQuarter

Type

Dividend type

Jul 01, 2025

Payment Date

Register closing date

0.31

Dividend

Preliminary value of the dividend per
one share, quote currency

1.63%

Yield

Dividend yield, %

Telephone and Data Systems Inc

Jun 16, 2025

0.04

Quarterly

Jun 30, 2025

0.46%

Country

Telephone and Data Systems Inc

Name of the trading instrument

Jun 16, 2025

Ex-Dividend Date

The last day to buy/sell an asset

QuarterlyQuarter

Type

Dividend type

Jun 30, 2025

Payment Date

Register closing date

0.04

Dividend

Preliminary value of the dividend per
one share, quote currency

0.46%

Yield

Dividend yield, %

Tri Continental Closed Fund

Jun 16, 2025

1.052

Quarterly

Jun 25, 2025

13.31%

Country

Tri Continental Closed Fund

Name of the trading instrument

Jun 16, 2025

Ex-Dividend Date

The last day to buy/sell an asset

QuarterlyQuarter

Type

Dividend type

Jun 25, 2025

Payment Date

Register closing date

1.052

Dividend

Preliminary value of the dividend per
one share, quote currency

13.31%

Yield

Dividend yield, %

UGI Corporation

Jun 16, 2025

0.375

Quarterly

Jul 01, 2025

4.22%

Country

UGI Corporation

Name of the trading instrument

Jun 16, 2025

Ex-Dividend Date

The last day to buy/sell an asset

QuarterlyQuarter

Type

Dividend type

Jul 01, 2025

Payment Date

Register closing date

0.375

Dividend

Preliminary value of the dividend per
one share, quote currency

4.22%

Yield

Dividend yield, %

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