Stocks Ex-Dividend March 17

Dow Jones
03/14
 Company                       Symbol       Yield(%)   Amount 
 
 Angel Oak Finl Strat          FINS         10.8    0.115 
 Ares Management               ARES         5.3     1.35 
 Avient                        AVNT         3.2     0.275 
 Bancroft Fund                 BCV          6.2     0.35 
 BlackRock TCP Capital         TCPC         18.7    0.17 
 BNY Mellon Mun Bd Infr        DMB          4.6     0.042 
 Brookfield                    BN           0.7     0.07 
 Brookfield Wealth Solns       BNT          0.6     0.05148 
 Brookfield Wealth Solns       BNT          0.6     0.07 
 Cannae Holdings               CNNE         5.0     0.15 
 CBL & Assocs Properties       CBL          4.9     0.45 
 CHS 6.75% Redeem Pfd 3 B      CHSCM        6.7     0.42188 
 CHS 7.5% Pfd. B 4             CHSCL        7.3     0.46875 
 CHS 7.875% Pfd. Cl B          CHSCO        7.5     0.49219 
 CHS 8% Pfd.                   CHSCP        7.0     0.50 
 CHS Cum. Pfd. Cl B 2          CHSCN        7.0     0.44375 
 Corebridge Financial          CRBG         4.3     0.25 
 Crown Holdings                CCK          1.3     0.35 
 Douglas Dynamics              PLOW         2.9     0.295 
 Ecolab                        ECL          1.1     0.73 
 Ellsworth Growth & Incm       ECF          6.7     0.19 
 Entravision Comms             EVC          6.7     0.05 
 F&G Annuities & Life          FG           4.5     0.25 
 Fidelity National Finl        FNF          4.4     0.52 
 Gabelli Conv & Incm Secs      GCV          11.1    0.12 
 Gabelli Dividend & Incm       GDV          6.6     0.15 
 Gabelli Gl Small & MC         GGZ          5.4     0.21 
 Gabelli Glbl Multimedia       GGT          21.3    0.08 
 Gabelli Hlthcr & Well         GRX          7.3     0.17 
 Gabelli Util Inco Tr          GLU          6.6     0.11 
 Gabelli Utility Tr            GUT          10.1    0.05 
 GAMCO Glbl Gold Nat Rscs      GGN          6.7     0.03 
 GAMCO Nat Rsc Gold & Incm     GNT          8.7     0.06 
 GDL Fund                      GDL          5.6     0.12 
 GE Vernova                    GEV          0.2     0.50 
 Global Water Resources        GWRS         4.1     0.02533 
 HCA Healthcare                HCA          0.6     0.78 
 Healthpeak Properties         DOC          7.2     0.10167 
 High Income Secs Fund         PCF          12.4    0.058 
 Himalaya Shipping             HSHP         5.8     0.06 
 Horace Mann Educators         HMN          3.4     0.36 
 Intercontinental Exchange     ICE          1.3     0.52 
 J&J Snack Foods               JJSF         3.9     0.80 
 Marten Transport              MRTN         2.0     0.06 
 Meritage Homes                MTH          2.8     0.48 
 Methanex                      MEOH         1.4     0.185 
 MFS Charter                   MCR          8.8     0.04495 
 MFS Govt Mkts Income Tr       MGF          7.8     0.0191 
 MFS Hi Inc Muni               CXE          5.6     0.018 
 MFS Hi Yld Muni               CMU          5.5     0.0165 
 MFS Inc Tr                    MIN          9.2     0.01917 
 MFS Intermed Hi Inc           CIF          10.6    0.01454 
 MFS Invest Grade Muni         CXH          4.8     0.034 
 MFS Multimkt                  MMT          8.8     0.03375 
 MFS Munl Inco                 MFM          5.3     0.024 
 New Mountain Finance          NMFC         16.2    0.32 
 Oxford Lane 6% Pfd 2029       OXLCO        6.4     0.125 
 Oxford Lane 7.125% Pfd        OXLCN        7.3     0.14844 
 Oxford Lane Capital           OXLC         29.3    0.40 
 Oxford Lane Pfd 2027          OXLCP        6.3     0.13021 
 Oxford Square Capital         OXSQ         24.3    0.035 
 Pearl Diver Credit            PDCC         25.2    0.22 
 Pearl Diver Credit Pfd. A     PDPA         8.0     0.1667 
 Permian Resources             PR           3.3     0.16 
 Principal Real Est Incm       PGZ          12.7    0.105 
 Prologis                      PLD          3.2     1.07 
 PulteGroup                    PHM          0.9     0.26 
 Quanex Building Products      NX           1.9     0.08 
 Rayonier                      RYN          5.1     0.26 
 Renasant                      RNST         2.6     0.23 
 Silgan Holdings               SLGN         2.0     0.21 
 Simon Property Pfd J          SPGpJ        7.7     1.04688 
 Special Opp Fund              SPE          9.3     0.1087 
 Strawberry Fields REIT        STRW         4.8     0.16 
 Taiwan Semiconductor ADR      TSM          0.8     0.76456 
 Taiwan Semiconductor ADR      TSM          0.8     0.95572 
 TechnipFMC                    FTI          0.3     0.05 
 Texas Roadhouse               TXRH         1.8     0.75 
 Tri-Continental               TY           3.5     0.2848 
 Tri-Continental $2.50 Pfd     TYp          5.7     0.625 
 TriplePoint Venture Grw       TPVG         18.1    0.23 
 Universal Display             OLED         2.1     0.50 
 Utah Medical Products         UTMD         2.0     0.31 
 Vertiv Holdings               VRT          0.1     0.0625 
 Western Union                 WU           9.9     0.235 
 
Source: FactSet 

(END) Dow Jones Newswires

March 13, 2026 16:22 ET (20:22 GMT)

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