Dividend Calendar

Thursday, November 21, 2024

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, %

Thomson Reuters Corp

Nov 21, 2024

0.54

Quarterly

Dec 10, 2024

1.34%

Country

Thomson Reuters Corp

Name of the trading instrument

Nov 21, 2024

Ex-Dividend Date

The last day to buy/sell an asset

Quarterly

Type

Dividend type

Dec 10, 2024

Payment Date

Register closing date

0.54

Dividend

Preliminary value of the dividend per
one share, quote currency

1.34%

Yield

Dividend yield, %

Vodafone Group PLC

Nov 21, 2024

0.0225

Interim

Feb 07, 2025

%

Country

Vodafone Group PLC

Name of the trading instrument

Nov 21, 2024

Ex-Dividend Date

The last day to buy/sell an asset

Interim

Type

Dividend type

Feb 07, 2025

Payment Date

Register closing date

0.0225

Dividend

Preliminary value of the dividend per
one share, quote currency

%

Yield

Dividend yield, %

VPC Specialty Lending Investments PLC

Nov 21, 2024

1.34

Interim

Dec 19, 2024

35.57%

Country

VPC Specialty Lending Investments PLC

Name of the trading instrument

Nov 21, 2024

Ex-Dividend Date

The last day to buy/sell an asset

Interim

Type

Dividend type

Dec 19, 2024

Payment Date

Register closing date

1.34

Dividend

Preliminary value of the dividend per
one share, quote currency

35.57%

Yield

Dividend yield, %

W&T Offshore Inc

Nov 21, 2024

0.01

Quarterly

Nov 29, 2024

1.99%

Country

W&T Offshore Inc

Name of the trading instrument

Nov 21, 2024

Ex-Dividend Date

The last day to buy/sell an asset

Quarterly

Type

Dividend type

Nov 29, 2024

Payment Date

Register closing date

0.01

Dividend

Preliminary value of the dividend per
one share, quote currency

1.99%

Yield

Dividend yield, %

Western Asset Managed Municipals Closed Fund

Nov 21, 2024

0.0545

Monthly

Dec 02, 2024

6.26%

Country

Western Asset Managed Municipals Closed Fund

Name of the trading instrument

Nov 21, 2024

Ex-Dividend Date

The last day to buy/sell an asset

Monthly

Type

Dividend type

Dec 02, 2024

Payment Date

Register closing date

0.0545

Dividend

Preliminary value of the dividend per
one share, quote currency

6.26%

Yield

Dividend yield, %

Woodward Inc

Nov 21, 2024

0.25

Quarterly

Dec 05, 2024

0.58%

Country

Woodward Inc

Name of the trading instrument

Nov 21, 2024

Ex-Dividend Date

The last day to buy/sell an asset

Quarterly

Type

Dividend type

Dec 05, 2024

Payment Date

Register closing date

0.25

Dividend

Preliminary value of the dividend per
one share, quote currency

0.58%

Yield

Dividend yield, %