Global Self Storage Inc(SELF) USD 5.17
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.40%USD 0.073USD0.07252023-03-14
20225.32%USD 0.275USD0.07252022-12-14
USD0.07252022-09-15
USD0.0652022-06-14
USD0.0652022-03-14
20215.03%USD 0.26USD0.0652021-12-14
USD0.0652021-09-14
USD0.0652021-06-14
USD0.0652021-03-12
20205.03%USD 0.26USD0.0652020-12-14
USD0.0652020-09-14
USD0.0652020-06-12
USD0.0652020-03-13
20195.03%USD 0.26USD0.0652019-12-18
USD0.0652019-09-16
USD0.0652019-06-14
USD0.0652019-03-14
20185.03%USD 0.26USD0.0652018-12-14
USD0.0652018-09-17
USD0.0652018-06-14
USD0.0652018-03-14
20175.03%USD 0.26USD0.0652017-12-14
USD0.0652017-09-15
USD0.0652017-06-13
USD0.0652017-03-13
20165.03%USD 0.26USD0.0652016-12-13
USD0.0652016-09-14
USD0.0652016-06-15
USD0.0652016-03-11
20155.03%USD 0.26USD0.0652015-12-11
USD0.0652015-09-14
USD0.0652015-06-12
USD0.0652015-03-12
20145.03%USD 0.26USD0.0652014-12-14
USD0.0652014-09-12
USD0.0652014-06-12
USD0.0652014-03-13
20136.71%USD 0.347USD0.1522013-12-12
USD0.0652013-09-13
USD0.0652013-06-13
USD0.0652013-03-13
20129.09%USD 0.47USD0.212012-12-24
USD0.0652012-12-12
USD0.0652012-09-13
USD0.0652012-06-13
USD0.0652012-03-13
20115.03%USD 0.26USD0.0652011-12-13
USD0.0652011-09-13
USD0.0652011-06-13
USD0.0652011-03-11
20104.26%USD 0.22USD0.0552010-12-13
USD0.0552010-09-13
USD0.0552010-06-11
USD0.0552010-03-11
20094.55%USD 0.235USD0.082009-12-11
USD0.0552009-09-11
USD0.052009-06-11
USD0.052009-03-12
20084.64%USD 0.24USD0.062008-12-11
USD0.062008-09-16
USD0.062008-06-12
USD0.062008-03-13
20074.26%USD 0.22USD0.0552007-12-14
USD0.0552007-09-14
USD0.0552007-06-13
USD0.0552007-03-13
20065.42%USD 0.28USD0.072006-12-14
USD0.072006-09-14
USD0.072006-06-13
USD0.072006-03-13
20055.42%USD 0.28USD0.072005-12-13
USD0.072005-09-14
USD0.072005-06-14
USD0.072005-03-15
20046.48%USD 0.335USD0.0952004-12-15
USD0.082004-09-14
USD0.082004-06-14
USD0.082004-03-15
20036.96%USD 0.36USD0.082003-12-15
USD0.082003-09-12
USD0.092003-06-12
USD0.112003-03-13
20029.67%USD 0.5USD0.122002-12-12
USD0.122002-09-12
USD0.122002-06-12
USD0.142002-03-13
200110.98%USD 0.568USD0.142001-12-12
USD0.04752001-09-20
USD0.04752001-08-22
USD0.04752001-07-18
USD0.04752001-06-13
USD0.04752001-05-14
USD0.04752001-04-17
USD0.04752001-03-14
USD0.04752001-02-13
USD0.04752001-01-16
200011.11%USD 0.575USD0.04752000-12-14
USD0.04752000-11-09
USD0.04752000-10-12
USD0.0482000-09-14
USD0.0482000-08-14
USD0.0482000-07-13
USD0.0482000-06-14
USD0.0482000-05-11
USD0.0482000-04-13
USD0.0482000-03-15
USD0.0482000-02-10
USD0.0482000-01-12