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 (1713)
Ex-Div Date
Record date
Announcement Date
Sep 12
Monday
48
Sep 13
Tuesday
159
Sep 14
Wednesday
53
Sep 15
Thursday
121
Sep 16
Friday
40
Sep 17
Saturday
0
Company Name
Ticker
Dividend
0.62
Green Plains Inc
GPRE
0.12
Mattel Inc
MAT
0.38
NN Inc
NNBR
0.07
Rocky Mountain Chocolate Factory Inc
RMCF
0.12
0.45
ASE Technology Holding Co Ltd
ASX
0.18
Carnival Corporation
CCL
0.35
Carnival Corporation
CUK
0.35
Kaman Corporation
KAMN
0.18
L S Starrett Company The
SCX
0.1
Oceaneering International Inc
OII
0.27
RPT Realty
RPT
0.22
0.1143
0.0875
Primerica Inc
PRI
0.18
TriplePoint Venture Growth BDC Corp
TPVG
0.36
Avnet Inc
AVT
0.17
Arthur J Gallagher & Co
AJG
0.38
Live Oak Bancshares Inc.
LOB
0.02
HCI Group Inc
HCI
0.30
NVIDIA Corporation
NVDA
0.12
First Merchants Corporation
FRME
0.14
Open Text Corporation
OTEX
0.23
Duke Energy Corporation
DUK
0.86
Sealed Air Corporation
SEE
0.16
McDonald`s Corporation
MCD
0.89
Aegon NV
AEG
0.12
United States Lime & Minerals Inc
USLM
0.13
Cboe Global Markets Inc
CBOE
0.25
BP p l c
BP
0.60
Hilton Worldwide Holdings Inc
HLT
0.07
Ryder System Inc
R
0.44
Old National Bancorp
ONB
0.13
Watts Water Technologies Inc
WTS
0.18
Silvercrest Asset Management Group Inc
SAMG
0.12
Flowers Foods Inc
FLO
0.16
Cognex Corporation
CGNX
0.08
John Bean Technologies Corporation
JBT
0.10
Navient Corporation
NAVI
0.16