Global Self Storage, Inc. Common Stock (SELF)

Dividend Yield

SELF has a dividend yield of NaN% based on $0.29 in yearly dividends. The most recent payment was on 2024-09-30 in the amount of $0.07.
Dividend Yield NaN% Annual Dividends $0.29
Price undefined Payments per Year 4
Declaration Date 2024-09-03 Ex Dividend Date 2024-09-17
Record Date 2024-09-17 Payment Date 2024-09-30
Stock Index ETFs
SPY S&P 500 ETF   589.68 -0.83 (-0.14%)
QQQ Nasdaq 100 ETF   501.87 -1.30 (-0.26%)
DIA Dow Jones ETF   434.48 0.19 (0.04%)
ONEQ Nasdaq Comp ETF   74.72 -0.14 (-0.19%)
Prices provided by Polygon.io

SELF Dividend History

SELF Dividend Payments

Dividend Ex Div Date Pay Date
$0.0725 2024-09-17 2024-09-30
$0.0725 2024-06-17 2024-06-28
$0.0725 2024-03-14 2024-03-28
$0.0725 2023-12-14 2023-12-28
$0.0725 2023-09-15 2023-09-29
$0.0725 2023-06-14 2023-06-30
$0.0725 2023-03-14 2023-03-31
$0.0725 2022-12-14 2022-12-29
$0.0725 2022-09-15 2022-09-30
$0.065 2022-06-14 2022-06-30
$0.065 2022-03-14 2022-03-31
$0.065 2021-12-14 2021-12-30
$0.065 2021-09-14 2021-09-30
$0.065 2021-06-14 2021-06-30
$0.065 2021-03-12 2021-03-31
$0.065 2020-12-14 2020-12-30
$0.065 2020-09-14 2020-09-30
$0.065 2020-06-12 2020-06-30
$0.065 2020-03-13 2020-03-31
$0.065 2019-12-18 2019-12-31
$0.065 2019-09-16 2019-09-30
$0.065 2019-06-14 2019-06-28
$0.065 2019-03-14 2019-03-29
$0.065 2018-12-14 2018-12-28
$0.065 2018-09-17 2018-09-28
$0.065 2018-06-14 2018-06-29
$0.065 2018-03-14 2018-03-29
$0.065 2017-12-14 2017-12-28
$0.065 2017-09-15 2017-09-29
$0.065 2017-06-13 2017-06-30
$0.065 2017-03-13 2017-03-31
$0.065 2016-12-13 2016-12-29
$0.065 2016-09-14 2016-09-30
$0.065 2016-06-15 2016-06-30
$0.065 2016-03-11 2016-03-31
$0.065 2015-12-11 2015-12-30
$0.065 2015-09-14 2015-09-30
$0.065 2015-06-11 2015-06-30
$0.065 2015-03-12 2015-03-31
$0.065 2014-09-12 2014-09-30
$0.065 2014-06-12 2014-06-30
$0.065 2014-03-13 2014-03-31
$0.152 2013-12-12 2013-12-30
$0.065 2013-09-13 2013-09-30
$0.065 2013-06-13 2013-06-28
$0.065 2013-03-13 2013-03-28
$0.21 2012-12-24 2012-12-31
$0.065 2012-12-12 2012-12-28
$0.065 2012-09-13 2012-09-28
$0.065 2012-06-13 2012-06-29
$0.065 2012-03-13 2012-03-30
$0.06 2008-12-11 2008-12-31
$0.06 2008-09-16 2008-09-30