Dividend Calendar October 1999

  • In 859 securities pay a dividend.
  • The strongest day in is with 137 dividend pay dates.
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SecurityEx-DatePay DateDiv.%Amount
Friday, 1 October 1999
Coca-Cola Co
2.48%$0.08
Legal & General Group PLC
7.05%£0.01
Union Pacific Corp
1.94%$0.05
Merck & Co Inc
2.75%$0.29
Automatic Data Processing Inc
2.67%$0.08
UGI Corp
4.38%$0.08
Albemarle Corp
1.25%$0.05
Genuine Parts Co
3.18%$0.26
TransAlta Corp
1.64%CA$0.25
Evergy Inc
3.43%$0.54
Show all 132 dividends on
Saturday, 2 October 1999
Bankinter SA
3.38%€0.02
Cipla Ltd
0.89%₹0.20
Blue Industrial Development
0.00%₩12
Show all 3 dividends on
Sunday, 3 October 1999
Malam-Team Ltd
0.00%₪0.05
Show all 1 dividends on
Monday, 4 October 1999
Nike Inc
4.07%$0.02
Kimberly-Clark Corp
4.71%$0.26
Bankinter SA
3.38%€0.03
Compagnie Financiere Richemont SA
2.19%CHF 0.17
Ross Stores Inc
0.72%$0.00
Liberty All-Star Equity
10.87%$0.34
COSCO SHIPPING Ports Ltd
5.00%HK$0.08
Swire Pacific Ltd Class A
3.97%HK$0.34
Cathay Pacific Airways Ltd
5.63%HK$0.03
Swire Pacific Ltd Class B
5.00%HK$0.07
Show all 30 dividends on
Tuesday, 5 October 1999
The Estee Lauder Companies Inc
1.59%$0.03
Acerinox SA
3.45%€0.07
Raymond James Financial Inc
1.31%$0.03
The Cooper Companies Inc
0.00%$0.00
Woolworths Group Ltd
2.22%A$0.09
Chesapeake Utilities Corp
2.24%$0.17
Aristocrat Leisure Ltd
1.73%A$0.06
Citigroup Inc DR
0.00%$0.26
World Kinect Corp
2.61%$0.01
Transport International Holdings Ltd
5.15%HK$0.28
Show all 22 dividends on
Wednesday, 6 October 1999
One Liberty Properties Inc
7.49%$0.30
Amcor PLC CDI
5.49%A$0.70
CVR Energy Inc
1.28%$0.29
Administradora de Fondos de Pensiones Habitat SA
7.21%CLP 2
Kimberly - Clark de Mexico SAB de CV Class A
4.14%MX$0.10
Kerry Properties Ltd
7.06%HK$0.20
Franklin Global Trust
0.52%£0.01
AmeriServ Financial Inc
2.44%$0.15
G City Ltd
10.81%₪0.13
Alco Holdings Ltd
0.00%HK$1.42
Show all 13 dividends on
Thursday, 7 October 1999
Riocan Real Estate Investment Trust
5.44%CA$0.09
Invesco Bond Income Plus Limited
7.18%£0.03
abrdn Diversified Income & Growth PLC
160.89%£0.01
ATN International Inc
3.67%$0.06
Australian United Investment Company Ltd
3.86%A$0.07
Columbus McKinnon Corp
1.38%$0.07
Industrias Bachoco SAB de CV B
0.00%MX$0.05
Transpaco Ltd
5.75%ZAR 0.07
Gold Peak Technology Group Ltd
4.06%HK$0.04
Indian Card Clothing Co Ltd
0.00%₹4.50
Show all 17 dividends on
Friday, 8 October 1999
T. Rowe Price Group Inc
4.61%$0.05
British American Tobacco PLC ADR
5.59%$0.08
SLB Schlumberger Ltd
2.37%$0.09
Flowers Foods Inc
6.74%$0.13
Omnicom Group Inc
4.12%$0.08
International Flavors & Fragrances Inc
1.86%$0.38
Equity Residential
4.23%$0.38
Gold Fields Ltd
4.59%ZAR 0.30
Thor Industries Inc
2.71%$0.02
Kilroy Realty Corp
5.70%$0.42
Show all 43 dividends on
Saturday, 9 October 1999
Dime Commercial Bancshares Inc
2.53%$0.11
Menon Pistons Ltd
0.00%₹0.10
Show all 2 dividends on
Sunday, 10 October 1999
The Cigna Group
2.26%$0.10
Zhejiang Expressway Co Ltd Class H
6.90%CN¥0.01
Show all 2 dividends on
Monday, 11 October 1999
Banco Bilbao Vizcaya Argentaria SA
4.03%€0.04
Hubbell Inc
1.16%$0.32
State Street SPDR Dow Jones Industrial Average ETF Trust
0.93%$0.13
Community Financial System Inc
3.03%$0.13
Ingles Markets Inc Class A
0.75%$0.17
Truworths International Ltd
9.10%ZAR 0.07
RT VIF Versicherung International Fonds A
3.82%€12.00
Aberdeen UK Smaller Cos Growth Trust PLC
3.00%£0.00
Prismaflex International
0.00%€0.06
Engineers India Ltd
2.49%₹0.42
Show all 13 dividends on
Tuesday, 12 October 1999
Altria Group Inc
6.44%$0.48
Walmart Inc
0.89%$0.02
Adobe Inc
0.00%$0.01
CK Infrastructure Holdings Ltd
4.27%HK$0.13
GSK PLC ADR
3.47%$0.54
Bank Bradesco SA Vz ADR
4.06%$0.00
The Toro Co
1.64%$0.01
Warrior Met Coal Inc
0.35%$0.05
DNP Select Income Fund
7.19%$0.07
Woodside Energy Group Ltd ADR
4.99%$0.06
Show all 32 dividends on
Wednesday, 13 October 1999
HP Inc
4.11%$0.02
McCormick & Co Inc
3.81%$0.04
Tupperware Brands Corp
0.00%$0.22
Motorola Solutions Inc
1.10%$0.28
McCormick & Co Inc
4.08%$0.04
Fluor Corp
0.00%$0.20
JPMorgan Funds - China Fund A (dist)
0.37%$0.04
JPMorgan Funds - Emerging Markets Equity Fund A (dist)
0.35%$0.02
JPMorgan Funds - Latin America Equity Fund A (dist)
2.74%$0.13
Shangri-La Asia Ltd
3.64%HK$0.07
Show all 20 dividends on
Thursday, 14 October 1999
Agree Realty Corp
4.28%$0.46
Roper Technologies Inc
0.96%$0.03
Faes Farma SA
2.83%€0.01
Impala Platinum Holdings Ltd
2.66%ZAR 0.89
CSL Ltd
3.17%A$0.05
Brambles Ltd
3.47%A$0.10
Templeton Global Bond Fund A(Mdis)USD
6.18%$0.03
SkyWest Inc
0.00%$0.02
CVB Financial Corp
3.54%$0.03
PCM Fund
13.57%$0.09
Show all 24 dividends on
Friday, 15 October 1999
Realty Income Corp
5.21%$0.09
W.P. Carey Inc
5.40%$0.42
LTC Properties Inc
5.75%$0.39
EPR Properties
6.02%$0.42
Alexandria Real Estate Equities Inc
5.79%$0.43
Prologis Inc
3.14%$0.35
Occidental Petroleum Corp
1.93%$0.13
Pembina Pipeline Corp
4.46%CA$0.08
Viatris Inc
2.92%$0.02
Franklin Resources Inc
4.00%$0.06
Show all 123 dividends on
Saturday, 16 October 1999
Suncorp Group Ltd
3.38%A$0.29
Nongshim Co Ltd
1.48%₩814
JinJian Cereals Industry Co Ltd Class A
0.00%CN¥0.01
Noumi Ltd
0.00%A$0.03
Show all 4 dividends on
Sunday, 17 October 1999
E-L Financial Corp Ltd
0.91%CA$0.00
Show all 1 dividends on
Monday, 18 October 1999
Acomo NV
6.15%€0.05
Grupo Catalana Occidente SA
0.00%€0.19
Gold Fields Ltd ADR
4.52%$0.04
John Wiley & Sons Inc Class A
2.72%$0.04
First Industrial Realty Trust Inc
3.33%$0.60
Banc of California Inc
2.56%$0.02
Kaman Corp Class A
0.00%$0.11
Amotiv Ltd
5.98%A$0.05
Oriental Watch Holdings Ltd
11.33%HK$0.03
Eaton Vance Municipal Income Trust
5.76%$0.07
Show all 23 dividends on
Tuesday, 19 October 1999
Waste Management Inc
1.73%$0.01
Getty Realty Corp
5.94%$0.10
AGL Energy Ltd
5.80%A$0.16
Sun Communities Inc
3.71%$0.51
John Hancock Preferred Income Fund III
9.26%$0.14
Rithm Property Trust Inc
12.03%$0.42
Great Eagle Holdings Ltd
7.22%HK$0.10
Republic Bancorp Inc Class A
2.08%$0.02
Preformed Line Products Co
0.18%$0.15
Invesco Solar ETF
0.00%$0.05
Show all 18 dividends on
Wednesday, 20 October 1999
CK Hutchison Holdings Ltd
3.17%HK$0.33
Xcel Energy Inc
3.08%$0.36
BP Prudhoe Bay Royalty Trust
0.00%$0.40
Erie Indemnity Co Class A
2.42%$0.12
Insperity Inc
4.58%$0.36
Clearfield Inc
0.00%$0.32
Eagle Materials Inc
0.47%$0.05
Chow Sang Sang Holdings International Ltd
8.48%HK$0.06
Citizens & Northern Corp
4.42%$0.22
Mid Wynd International Investment Trust PLC Fund O Inc
1.05%£0.01
Show all 20 dividends on
Thursday, 21 October 1999
Banco Bilbao Vizcaya Argentaria SA ADR
4.10%$0.04
Sasol Ltd
0.00%ZAR 0.86
Andersons Inc
1.24%$0.02
Glacier Bancorp Inc
2.72%$0.06
Eaton Vance Senior Income Trust
9.26%$0.07
Dabur India Ltd
2.01%₹0.25
Raymond Industrial Ltd
8.58%HK$0.02
GP Industries Ltd
5.83%SGD 0.02
Lay Hong Bhd
1.70%MYR 0.01
Tesson Holdings Ltd
0.00%HK$0.15
Show all 11 dividends on
Friday, 22 October 1999
Sysco Corp
2.63%$0.05
Autodesk Inc
0.00%$0.02
BHP Group PLC
0.00%$0.07
Wesfarmers Ltd
4.49%A$0.43
Saba Capital Income & Opportunities Fund
15.21%$0.07
FBD Holdings PLC
11.07%€0.07
M/I Homes Inc
0.00%$0.03
Cohu Inc
0.00%$0.02
Life Storage Inc
0.00%$0.38
Commercial Metals Co
1.06%$0.13
Show all 42 dividends on
Saturday, 23 October 1999
Illinois Tool Works Inc
2.31%$0.09
Show all 1 dividends on
Sunday, 24 October 1999
PNC Financial Services Group Inc
3.25%$0.45
Q Capital Partners Co Ltd
0.00%₩625
Shandong Shengli Co Ltd Class A
1.11%CN¥0.02
Show all 3 dividends on
Monday, 25 October 1999
GE Aerospace
0.54%$0.35
Ingredion Inc
3.22%$0.05
American Financial Group Inc
4.82%$0.17
Hong Kong and China Gas Co Ltd
5.13%HK$0.03
Zions Bancorp NA
2.73%$0.29
Virtus Total Return Fund Inc.
9.73%$0.06
Rite Aid Corp
0.00%$2.30
Austal Ltd
0.00%A$0.06
S&T Bancorp Inc
2.95%$0.19
Greystone Housing Impact Investors LP
9.74%$0.07
Show all 55 dividends on
Tuesday, 26 October 1999
Singapore Telecommunications Ltd
4.30%SGD 0.06
UOB-Kay Hian Holdings Ltd
2.96%SGD 0.01
Leon's Furniture Ltd
5.65%CA$0.02
Capral Ltd
2.69%A$24.25
Tourism Holdings Ltd
2.86%NZ$0.05
Federated Hermes Premier Municipal Inc
4.83%$0.24
Scully Royalty Ltd
0.00%$0.11
BAIC Foton Motor Co Ltd Class A
0.00%CN¥0.01
Channel Infrastructure NZ Ltd
4.04%NZ$0.01
China Sinostar Group Co Ltd
0.00%HK$0.81
Show all 13 dividends on
Wednesday, 27 October 1999
Bank of Nova Scotia
3.71%CA$0.12
Annaly Capital Management Inc
12.99%$0.35
Wesfarmers Ltd
4.49%A$0.40
Wesfarmers Ltd
4.49%A$0.28
PIMCO Strategic Income Fund
9.07%$0.07
Heritage Financial Corp
3.39%$0.06
United Security Bancshares
4.56%$0.04
Tata Communications Ltd
1.00%₹10.67
Alpha Systems Inc
5.21%JP¥15
Bajaj Hindusthan Sugar Ltd
0.00%₹0.21
Show all 14 dividends on
Thursday, 28 October 1999
D.R. Horton Inc
1.29%$0.03
Canadian Pacific Kansas City Ltd
0.87%CA$0.03
Apollo Commercial Real Estate Finance Inc
14.81%$0.45
Canadian Imperial Bank of Commerce
2.64%CA$0.15
BXP Inc
4.02%$0.45
Templeton Growth Fund, Inc. Class A
13.45%$1.06
BNY Mellon High Yield Strategies Fund
8.86%$0.13
Wabash National Corp
2.48%$0.04
AMP Ltd
1.61%A$0.15
Ridley Corp Ltd
3.62%A$0.04
Show all 27 dividends on
Friday, 29 October 1999
Danaher Corp
0.85%$0.02
Medtronic PLC
3.34%$0.04
Lowe's Companies Inc
2.27%$0.03
Mid-America Apartment Communities Inc
4.64%$0.58
Morgan Stanley
2.13%$0.24
Roper Technologies Inc
0.96%$0.03
Persimmon PLC
5.08%£0.04
Watsco Inc
4.18%$0.03
Essential Utilities Inc
3.60%$0.28
EOG Resources Inc
3.13%$0.03
Show all 137 dividends on
Saturday, 30 October 1999
Banco Santander SA
2.13%€0.04
Citizens Financial Services Inc
2.56%$0.11
SHL Consolidated Bhd
5.22%MYR 0.05
TVA Group Inc Class B
0.00%CA$0.05
Show all 4 dividends on
Sunday, 31 October 1999
JPMorgan Chase & Co
1.79%$0.27
The Toronto-Dominion Bank
2.67%CA$0.10
Edison International
5.33%$0.27
Bombardier Inc Registered Shs -B- Subord Vtg
0.00%CA$0.70
Consolidated Water Co Ltd
1.97%$0.02
Brady Corp Class A
1.03%$0.09
Independent Bank Corp
3.00%$0.65
Bombardier Inc Registered Shs -A- Multiple Vtg Conv
0.00%CA$1.38
InnSuites Hospitality Trust
1.18%$0.01
Show all 9 dividends on

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