Login
In Depth
Earnings
Search
Calendar
Annual Comparison
Quarterly Comparison
Quarterly Range
Growth Rate
Sector View
Earnings Averages
P/E Ratio Annual
Fiscal Year
Dividend Frequency
Stocks
Annual Returns
52 Week High/Low
Advanced Search
Advanced Screen
52 Wk HL Screen
Financial Ratios
Indexes
Sectors
Market Updates
IPOs
SEC Filings
Market Cap
Funds
Mutual Funds
Funds - Family
Q&A - Fund Family
Q&A - Date
Performance By Category
Performance Screen
Alpha Screen
Time Period Screen
52 Wk Mutual Funds HL Screen
Manager Database
ETFs
Funds - Family
Performance By Category
Performance Screen
Alpha Screen
Time Period Screen
52 Wk ETF HL Screen
Economy
U.S. - Feed
Europe - Feed
U.S. - Chart
Europe - Chart
Currencies
Books
Weekly Review
Log In
Sign Up
Breaking News
KB Home
FedEx
Micron Technology
SpaceX
CarMax
BMW
Accenture
Designer Brands Intnl
Vail Resorts
Dividend Calendar (1702)
Ex-Div Date
Record date
Announcement Date
Oct 26
Monday
5
Oct 27
Tuesday
4
Oct 28
Wednesday
41
Oct 29
Thursday
46
Oct 30
Friday
9
Oct 31
Saturday
0
Company Name
Ticker
Dividend
Ryanair Holdings plc
RYAAY
1.64
Optical Cable Corporation
OCC
0.02
Coca Cola Bottling Co Consolidated
COKE
0.25
Prospect Capital Corporation
PSEC
0.08
STERIS plc
STE
0.25
Enterprise Products Partners L P
EPD
0.39
Weyerhaeuser Company
WY
0.31
Virtus Investment Partners Inc
VRTS
0.45
Endeavor Group Holdings Inc.
EDR
0.37
Genesis Energy L P
GEL
0.64
Northwest Natural Holding Company
NWN
0.47
Hallador Energy Company
HNRG
0.04
Apple Hospitality REIT Inc
APLE
0.10
National Retail Properties
NNN
0.44
Ames National Corporation
ATLO
0.20
EPR Properties
EPR
0.30
Tanger Factory Outlet Centers Inc
SKT
0.29
Alamos Gold Inc
AGI
0.02
Coca Cola Femsa S A B de C V
KOF
0.93
Morgan Stanley
MS
0.15
Ohio Valley Banc Corp
OVBC
0.21
Scholastic Corporation
SCHL
0.15
Lifetime Brands Inc
LCUT
0.04
Bank of Marin Bancorp
BMRC
0.24
Plains All American Pipeline L P
PAA
0.70
ConAgra Brands Inc
CAG
0.25
National Western Life Group Inc
NWLI
0.36
AGNC Investment Corp
AGNC
0.20
Stag Industrial Inc
STAG
0.12
Plains Group Holdings L P
PAGP
0.23
Unilever PLC
UL
0.34
Stellus Capital Investment Corporation
SCM
0.11
Texas Instruments Incorporated
TXN
0.38
M&T Bank Corporation
MTB
0.70
Plains Group Holdings L P
PAGP
0.23
Alliant Energy Corporation
LNT
0.55
Union Bankshares Inc
UNB
0.27
Unum Group
UNM
0.19
Ford Motor Company
F
0.15
NiSource Inc
NI
0.16
Smith A O Corporation
AOS
0.19