Recent Dividend Declarations

Dow Jones06-23
Recent Dividend Declarations 
    Company                   Symbol          Yld Per   Amount            Payable Record 
        Increased                                         New       Old 
 Allstate 5.1% Deb. 2053      ALLpB           7.2 Q      .4487     .4437  Jul 15 Jul 01 
 ATN International            ATNI            4.2 Q        .29      .275  Jul 08 Jun 30 
 BitMine Immer 9.5% Pfd. A    BMNP            0.4 W      .1056     .0051  Jul 10 Jun 30 
 Cross Timbers Royalty Tr     CRT             6.2 M      .0442     .0296  Jul 15 Jun 30 
 Delta Air Lines              DAL             0.9 Q       .215     .1875  Jul 30 Jul 09 
 Energy Svcs of America       ESOA            0.7 Q        .04       .03  Jul 15 Jun 30 
 Investar Holding             ISTR            1.6 Q        .12       .11  Jul 31 Jun 30 
 Northeast Community Bncp     NECB            3.1 Q        .25       .20  Aug 06 Jul 07 
 Parke Bancorp                PKBK            2.3 Q        .20       .18  Jul 17 Jul 03 
 Permian Basin Royalty Tr     PBT             1.3 M      .0247     .0204  Jul 15 Jun 30 
 Permianville Royalty Tr      PVL             9.8 M       .017      .014  Jul 15 Jun 30 
 PermRock Royalty Trust       PRT            13.2 M      .0305     .0027  Jul 15 Jun 30 
 SR Bancorp                   SRBK            1.1 Q        .06       .05  Jul 15 Jun 30 
 Two Harbors Pfd C            TWOpC           9.4 Q      .5651      .559  Jul 27 Jul 10 
 Virtus Duff & Phelps         DPRE            3.0 M      .0914     .0636  Jun 29 Jun 22 
 World Kinect                 WKC             2.5 Q        .23       .20  Jul 16 Jun 30 
 
        Regular 
  AbbVie                      ABBV            3.0  Q       1.73           Aug 14 Jul 15 
  Acme United                 ACU             1.4  Q        .16           Jul 23 Jul 02 
  Affiliated Mgrs Deb 2059    MGR             7.3  Q      .3672           Jun 30 Jun 29 
  Affiliated Mgrs Nts 2060    MGRB            7.1  Q      .2969           Jun 30 Jun 29 
  Affiliated Mgrs Nts 2064    MGRE            7.3  Q      .4219           Jun 30 Jun 29 
  American Healthcare REIT    AHR             2.1  Q        .25           Jul 17 Jun 30 
  Ameris Bancorp              ABCB            0.9  Q        .20           Jul 06 Jun 30 
  Andersons                   ANDE            1.1  Q        .20           Jul 22 Jul 01 
  Apple Hospitality REIT      APLE            5.7  M        .08           Jul 15 Jun 30 
  Bristol Myers Squibb        BMY             4.6  Q        .63           Aug 03 Jul 02 
  BXP                         BXP             4.3  Q        .70           Jul 31 Jun 30 
  Community Bancorp           CMTV            2.5  Q        .25           Aug 01 Jul 15 
  Cousins Properties          CUZ             4.5  Q        .32           Jul 16 Jul 06 
  DTE Energy                  DTE             3.2  Q      1.165           Oct 15 Sep 21 
  Ensign Group                ENSG            0.2  Q       .065           Jul 31 Jun 30 
  Entergy Texas Pfd. A        ETIp            5.6  Q      .3359           Jul 15 Jul 02 
  Equity Residential          EQR             4.3  Q      .7025           Jul 10 Jun 29 
  Fifth Third Bancorp         FITB            3.0  Q        .40           Jul 15 Jun 30 
  First United                FUNC            2.5  Q        .26           Aug 03 Jul 20 
  Gl Net Lease Pfd. A         GNLpA           7.8  Q      .4531           Jul 15 Jul 02 
  Glbl Net Lease Pfd D        GNLpD           7.9  Q      .4688           Jul 15 Jul 02 
  Global Net Lease            GNL             8.4  Q        .19           Jul 17 Jul 13 
  Global Net Lease Pfd E      GNLpE           8.0  Q      .4609           Jul 15 Jul 02 
  Global Net Lease Pfd. B     GNLpB           7.8  Q      .4297           Jul 15 Jul 02 
  Great Southern Bancorp      GSBC            2.3  Q        .43           Jul 14 Jun 29 
  Hyperscale Data Pfd. D      GPUSpD         17.1  M      .2708           Jul 10 Jun 30 
  IDEX                        IEX             1.3  Q        .73           Jul 24 Jul 06 
  Independent Bank            INDB            3.1  Q        .64           Jul 09 Jun 29 
  NexPoint RE Fin Pfd A       NREFpA          8.8  Q      .5313           Jul 27 Jul 15 
  Norwood Financial           NWFL            4.2  Q        .32           Aug 03 Jul 15 
  Oracle Dep. Pfd. D          ORCLpD          6.3  Q      .8125           Jul 15 Jul 01 
  Owens Corning               OC              2.5  Q        .79           Aug 06 Jul 20 
  Phoenix Engy Pfd. A         PHXEp          10.2  Q       .625           Jul 15 Jul 01 
  Preferred Bank LA           PFBC            3.2  Q        .80           Jul 21 Jul 07 
  Preformed Line Products     PLPC            0.2  Q        .21           Jul 20 Jul 01 
  ReposiTrak                  TRAK            0.9  Q        .02           Aug 14 Jun 30 
  Saul Centers                BFS             6.6  Q        .59           Jul 31 Jul 15 
  Saul Centers Pfd. D         BFSpD           7.3  Q      .3828           Jul 15 Jul 01 
  Saul Centers Pfd. E         BFSpE           6.6  Q       .375           Jul 15 Jul 01 
  SL Green Realty             SLG             4.9  Q      .6175           Jul 15 Jun 30 
  SL Green Realty Pfd. I      SLGpI           7.6  Q      .4063           Jul 15 Jun 30 
  Smith & Wesson Brands       SWBI            3.2  Q        .13           Jul 15 Jul 01 
  Toll Brothers               TOL             0.7  Q        .26           Jul 24 Jul 10 
  TriNet Group                TNET            2.7  Q        .29           Jul 27 Jul 01 
  Trinity Capital             TRIN           12.1  M        .17           Jul 31 Jul 15 
  Trinity Capital             TRIN           12.1  M        .17           Aug 31 Aug 14 
  Trinity Capital             TRIN           12.1  M        .17           Sep 30 Sep 10 
  Two Harbors Investment      TWO            11.5  Q        .34           Jul 15 Jul 02 
  Two Harbors Pfd. A          TWOpA           8.2  Q      .5078           Jul 27 Jul 10 
  Two Harbors Pfd. B          TWOpB           7.7  Q      .4766           Jul 27 Jul 10 
  U.S. Global Investors A     GROW            2.9  M      .0075           Jul 27 Jul 13 
  U.S. Global Investors A     GROW            2.9  M      .0075           Aug 31 Aug 17 
  U.S. Global Investors A     GROW            2.9  M      .0075           Sep 28 Sep 14 
  Washington Trust Bancorp    WASH            6.4  Q        .56           Jul 10 Jul 01 
        Funds, Investment Cos. 
  abrdn Natl Mun Incm Fd      VFL             5.8  M       .024           Jul 07 Jun 29 
  First Trust Sr FR Fd II     FCT            12.1  M      .0813           Jul 15 Jul 01 
  FT HY Opps 2027 Term Fd     FTHY           11.1  M       .125           Jul 27 Jul 01 
  FT Interm Duration Pfd      FPF             9.2  M      .1375           Jul 15 Jul 01 
  FT Mortgage Incm Fd         FMY             6.7  M       .065           Jul 15 Jul 01 
  Kayne Anderson Engy Infr    KYN             7.6  M        .09           Jul 31 Jul 15 
  MS EM Domestic Debt         EDD             9.8  Q        .24           Jul 15 Jun 30 
  MS Emerging Mkts Debt       MSD             7.6  Q        .15           Jul 15 Jun 30 
        Foreign 
  Accenture Cl A              ACN             5.5  Q       1.63           Aug 14 Jul 09 
  ASE Technology ADR          ASX             0.7  A      .4171           Aug 07 Jul 06 
  Coca-Cola Femsa ADR         KOF             3.6  Q     1.1248           Jul 24 Jul 13 
  Elemental Royalty           ELE             0.8  Q        .03           Jul 15 Jun 30 
  Logitech International      LOGI            1.1  A     1.6879           Sep 23 Sep 22 
  Safe Bulkers                SB              3.4  Q        .06           Jul 16 Jun 30 
  TIM ADR                     TIMB            9.4  A      .1618           Jul 29 Jun 29 
 
        Stock Dividends and Splits                                         Pct 
 Alight                       ALIT                   1:20 Reverse Split 
 Autonomix Medical            AMIX                   1:21 Reverse Split 
 Focus Universal              FCUV                    1:4 Reverse Split 
 Mobile-health Netwk Solns    MNDR                    1:6 Reverse Split 
 Triller Group                ILLR                   1:10 Reverse Split 
 Wearable Devices Wt          WLDSW                   1:3 Reverse Split 
 YXT.COM Group Holding ADR    YXT                    1:10 Reverse Split 
 YY Group Holding             YYGH                   1:30 Reverse Split 
 
 
Source: FactSet 

(END) Dow Jones Newswires

June 22, 2026 15:43 ET (19:43 GMT)

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