National Storage Affiliates Trust(NSA-PA) USD 23.3
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.61%USD 0.375USD0.3752023-03-14
20226.44%USD 1.5USD0.3752022-12-14
USD0.3752022-09-14
USD0.3752022-06-14
USD0.3752022-03-14
20216.44%USD 1.5USD0.3752021-12-14
USD0.3752021-09-14
USD0.3752021-06-14
USD0.3752021-03-12
20206.44%USD 1.5USD0.3752020-12-14
USD0.3752020-09-14
USD0.3752020-06-12
USD0.3752020-03-12
20196.44%USD 1.5USD0.3752019-12-12
USD0.3752019-09-12
USD0.3752019-06-13
USD0.3752019-03-14
20186.44%USD 1.5USD0.3752018-12-13
USD0.3752018-09-13
USD0.3752018-06-14
USD0.3752018-03-14
20171.43%USD 0.333USD0.333332017-12-14