Dividend Calendar (1702)

Company Name Ticker Dividend
Allegiant Travel Company ALGT 0.60
PriceSmart Inc PSMT 0.46
ARMOUR Residential REIT Inc ARR 0.08
AGCO Corporation AGCO 0.29
Enbridge Inc ENB 0.66
HDFC Bank Limited HDB 0.58
Allete Inc ALE 0.68
Applied Industrial Technologies Inc AIT 0.35
Southwest Gas Holdings Inc SWX 0.62
International Game Technology IGT 0.20
Eli Lilly and Company LLY 1.13
VALE S A VALE 0.33
Selective Insurance Group Inc SIGI 0.30
Gorman Rupp Company The GRC 0.18
Kroger Company The KR 0.29
Timken Company The TKR 0.33
CF Industries Holdings Inc CF 0.40
Macatawa Bank Corporation MCBC 0.08
CB Financial Services Inc CBFV 0.25
American States Water Company AWR 0.43
Cintas Corporation CTAS 1.35
Medallion Financial Corp MFIN 0.08
Smith A O Corporation AOS 0.30
Southern Missouri Bancorp Inc SMBC 0.21
International Paper Company IP 0.46
Reinsurance Group of America Incorporated RGA 0.85
Maximus Inc MMS 0.28
FirstCash Inc FCFS 0.35
KLA Tencor Corporation KLAC 1.30
Eastern Company The EML 0.11
Exelon Corporation EXC 0.36
Church & Dwight Company Inc CHD 0.27
Scorpio Tankers Inc STNG 0.25
Clipper Realty Inc. CLPR 0.10
Otter Tail Corporation OTTR 0.44
ConnectOne Bancorp Inc CNOB 0.17
Equinor ASA EQNR 0.79
Bentley Systems Incorporated BSY 0.05
Donaldson Company Inc DCI 0.25
Great Ajax Corp. AJX 0.20
UMH Properties Inc UMH 0.21
PennyMac Financial Services Inc PFSI 0.20
Chemours Company The CC 0.25
Standard Motor Products Inc SMP 0.29
Jabil Inc JBL 0.08
Sturm Ruger & Company Inc RGR 0.36
Berry Petroleum Corporation BRY 0.14
Natural Health Trends Corp NHTC 0.20
Business First Bancshares Inc BFST 0.12
Booz Allen Hamilton Holding Corporation BAH 0.47
FAT Brands Inc FAT 0.14
Welltower Inc WELL 0.61
BOK Financial Corporation BOKF 0.54
Select Medical Holdings Corporation SEM 0.13
The Carlyle Group L P CG 0.35
RE MAX Holdings Inc RMAX 0.23
A10 Networks Inc. ATEN 0.06
Mercantil Bank Holding Corporation AMTB 0.09
Esquire Financial Holdings Inc. ESQ 0.13
AdvanSix Inc ASIX 0.16
Runway Growth Finance Corp. RWAY 0.45
Lakeland Industries Inc LAKE 0.03
PC Connection Inc CNXN 0.08