Dividend Declarations As Of Wednesday, August 31, 2016

Dividend Declarations As Of






Wednesday, August 31, 2016













Name
Cycle
Dividend
Last
Yield
Ex
Pay
Concurrent Computer Corp.
Q
0.12
5.45
8.81%
9/9
9/27
Neuberger Berman Real Estate
M
0.04
5.83
8.23%
9/13
9/30
Neuberger Berman High Yield
M
0.08
11.84
8.11%
9/13
9/30
Prudential Short Duration
M
0.1025
16.13
7.63%
9/14
9/30
Vector Group Ltd
Q
0.4
22.31
7.17%
9/19
9/29
Voya Prime Rate Trust
M
0.0265
5.26
6.05%
9/8
9/22
National Research Corp. Class
Q
0.48
35.51
5.41%
9/28
10/14
Laurentian Bank
Q
0.6
49.16
4.88%
9/29
11/1
New York Reit Inc.
M
0.038333333
9.66
4.76%
9/6
9/15
Isabella Bank Corp.
Q
0.25
27.85
3.59%
9/23
9/30
Global Water Resources Inc.
M
0.022
7.98
3.31%
9/14
9/30
Packaging Corp. American
Q
0.63
78.63
3.20%
9/13
10/14
Educational Development
Q
0.09
12.1
2.98%
9/14
9/23
Deere & Co.
Q
0.6
84.55
2.84%
9/28
11/1
Mocon Inc.
Q
0.11
16.5
2.67%
11/8
11/25
Kewaunee Scientific Corp.
Q
0.15
23.65
2.54%
9/8
9/26
Hillenbrand Inc.
Q
0.2025
32.15
2.52%
9/14
9/30
Consolidated Water Co.
Q
0.075
12.68
2.37%
9/29
10/31
Universal Insurance Holding
Q
0.14
24.78
2.26%
9/8
10/24
Gentex Corp.
Q
0.09
17.79
2.02%
10/5
10/19
Ralph Lauren Corp.
Q
0.5
103.62
1.93%
9/28
10/14
Total Energy Services Trust
Q
0.06
13
1.85%
9/28
10/31
Oxford Industries Inc.
Q
0.27
62.41
1.73%
10/12
10/28
Golar Lng Ltd
Q
0.05
20.83
0.96%
9/12
10/3
Parkway Acquisition Corp.
NA
6%
08. Jan
0.75%
9/13
9/30
Allegion Public Ltd Co.
Q
12%
11. Mrz
0.67%
9/13
9/30
Cimarex Energy Co.
Q
0.08
132.18
0.24%
11/10
12/1

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