Dividend Calendar
Monday, September 22, 2025
Accruals and write-offs for dividends are processed within one calendar month after the Payment Date.
Location
Country
Company
Name of the trading instrument
Ex-Dividend
Date
The last day to buy/sell an asset
Dividend
Preliminary value of the dividend per
one share, quote currency
Type
Dividend type
Payment
Date
Register closing date
Yield
Dividend yield, %
ENI
Sep 22, 2025
0.26
Interim
Sep 24, 2025
6.85%
Country
ENI
Name of the trading instrument
Sep 22, 2025
The last day to buy/sell an asset
Interim
Dividend type
Sep 24, 2025
Register closing date
0.26
Preliminary value of the dividend per
one share, quote currency
6.85%
Dividend yield, %
Gladstone Capital Corporation
Sep 22, 2025
0.165
Monthly
Sep 30, 2025
7.03%
Country
Gladstone Capital Corporation
Name of the trading instrument
Sep 22, 2025
The last day to buy/sell an asset
Monthly
Dividend type
Sep 30, 2025
Register closing date
0.165
Preliminary value of the dividend per
one share, quote currency
7.03%
Dividend yield, %
Gladstone Commercial Corporation
Sep 22, 2025
0.1
Monthly
Sep 30, 2025
8.99%
Country
Gladstone Commercial Corporation
Name of the trading instrument
Sep 22, 2025
The last day to buy/sell an asset
Monthly
Dividend type
Sep 30, 2025
Register closing date
0.1
Preliminary value of the dividend per
one share, quote currency
8.99%
Dividend yield, %
Gladstone Investment Corporation
Sep 22, 2025
0.08
Monthly
Sep 30, 2025
6.91%
Country
Gladstone Investment Corporation
Name of the trading instrument
Sep 22, 2025
The last day to buy/sell an asset
Monthly
Dividend type
Sep 30, 2025
Register closing date
0.08
Preliminary value of the dividend per
one share, quote currency
6.91%
Dividend yield, %
KuybyshevAzot PAO
Sep 22, 2025
4
Other
Sep 23, 2025
0.86%
Country
KuybyshevAzot PAO
Name of the trading instrument
Sep 22, 2025
The last day to buy/sell an asset
Other
Dividend type
Sep 23, 2025
Register closing date
4
Preliminary value of the dividend per
one share, quote currency
0.86%
Dividend yield, %
LTC Properties Inc
Sep 22, 2025
0.19
Monthly
Sep 30, 2025
6.64%
Country
LTC Properties Inc
Name of the trading instrument
Sep 22, 2025
The last day to buy/sell an asset
Monthly
Dividend type
Sep 30, 2025
Register closing date
0.19
Preliminary value of the dividend per
one share, quote currency
6.64%
Dividend yield, %
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