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Global Self Storage Stock Dividends

SELFNASDAQ
Logo brought to you by Benzinga Data
$5.01
-0.07-1.38%
At close: -
$5.03
0.020.40%
After Hours: Mar 24, 4:00 PM EDT
Q4 2024 Earnings were released on Wed Mar 26th, after the market close

Global Self Storage Stock Dividends | NASDAQ:SELF | Benzinga

Global Self Storage issues dividends to shareholders from excess cash Global Self Storage generates. Most companies pay dividends on a quarterly basis, but dividends may also be paid monthly, annually or at irregular intervals.

Global Self Storage Inc Dividend Overview

Global Self Storage Inc currently pays a quarterly dividend of $0.29 per year for a yield of 5.71%.

Global Self Storage Inc last traded ex-dividend on Mar 17 and the next ex-dividend date is unknown.

Key Highlights:

  • Annual Payout: $0.29
  • Current Yield: 5.71%
  • Next Ex-Dividend Date: Unknown
  • Last Ex-Dividend Date: Mar 17
  • Payments per Year: 4
Dividend Yield (Forward)
5.71%
Annual Dividend
$0.29
Last Dividend
Mar 17

Dividends for Global Self Storage

Get Alert
03/17/20254$0.075.55%03/03/202503/17/202503/31/2025Get Alert
12/16/20244$0.075.72%12/02/202412/16/202412/30/2024Get Alert
09/17/20244$0.075.6%09/03/202409/17/202409/30/2024Get Alert
06/17/20244$0.075.84%06/03/202406/17/202406/28/2024Get Alert
03/14/20244$0.076.82%03/01/202403/15/202403/28/2024Get Alert
12/14/20234$0.076.33%12/01/202312/15/202312/28/2023Get Alert
09/15/20234$0.075.85%09/01/202309/18/202309/29/2023Get Alert
06/14/20234$0.075.82%06/01/202306/15/202306/30/2023Get Alert
03/14/20234$0.075.13%03/01/202303/15/202303/31/2023Get Alert
12/14/20224$0.075.69%12/01/202212/15/202212/29/2022Get Alert
09/15/20224$0.075.23%08/02/202209/16/202209/30/2022Get Alert
06/14/20224$0.074.41%06/01/202206/15/202206/30/2022Get Alert
03/14/20224$0.074.56%03/01/202203/15/202203/31/2022Get Alert
12/14/20214$0.074.85%12/01/202112/15/202112/30/2021Get Alert
09/14/20214$0.074.79%09/01/202109/15/202109/30/2021Get Alert
06/14/20214$0.074.74%06/01/202106/15/202106/30/2021Get Alert
03/12/20214$0.075.9%03/01/202103/15/202103/31/2021Get Alert
12/14/20204$0.076.53%12/01/202012/15/202012/30/2020Get Alert
09/14/20204$0.076.53%09/01/202009/15/202009/30/2020Get Alert
06/12/20204$0.076.25%06/01/202006/15/202006/30/2020Get Alert
03/13/20204$0.076.03%03/02/202003/16/202003/31/2020Get Alert
12/18/20194$0.076.18%12/02/201912/19/201912/31/2019Get Alert
09/16/20194$0.076%09/03/201909/17/201909/30/2019Get Alert
06/14/20194$0.077%06/03/201906/17/201906/28/2019Get Alert
03/14/20194$0.077%03/01/201903/15/201903/29/2019Get Alert
12/14/20184$0.076.55%12/03/201812/17/201812/28/2018Get Alert
09/17/20184$0.076.13%09/04/201809/18/201809/28/2018Get Alert
06/14/20184$0.076.27%06/05/201806/15/201806/29/2018Get Alert
03/14/20184$0.076.03%03/01/201803/15/201803/29/2018Get Alert
12/14/20174$0.075.38%12/01/201712/15/201712/28/2017Get Alert
09/15/20174$0.075.39%09/01/201709/18/201709/29/2017Get Alert
06/13/20174$0.075.08%06/15/201706/15/201706/30/2017Get Alert
03/13/20174$0.075.38%03/01/201703/15/201703/31/2017Get Alert
12/13/20164$0.075.21%12/01/201612/15/201612/29/2016Get Alert
09/14/20164$0.074.86%09/02/201609/16/201609/30/2016Get Alert
06/15/20164$0.075.18%06/02/201606/17/201606/30/2016Get Alert
03/11/20164$0.076.68%03/01/201603/15/201603/31/2016Get Alert
12/11/20154$0.076.86%12/01/201512/15/201512/30/2015Get Alert
09/14/20154$0.077.24%09/01/201509/16/201509/30/2015Get Alert
06/12/20154$0.077.34%06/01/201506/15/201506/30/2015Get Alert
03/12/20154$0.077.12%03/02/201503/16/201503/31/2015Get Alert
12/14/20144$0.076.84%12/01/201412/15/201412/30/2014Get Alert
09/12/20144$0.077.88%09/02/201409/16/201409/30/2014Get Alert
06/12/20144$0.077.72%06/02/201406/16/201406/30/2014Get Alert
03/13/20144$0.076.62%03/03/201403/17/201403/31/2014Get Alert
12/12/20134$0.1515.79%12/02/201312/16/201312/30/2013Get Alert
09/13/20134$0.076.75%09/03/201309/17/201309/30/2013Get Alert
06/13/20134$0.076.75%06/03/201306/17/201306/28/2013Get Alert
03/13/20134$0.076.75%03/01/201303/15/201303/28/2013Get Alert
12/24/2012Special$0.2121.82%12/12/201212/27/201212/31/2012Get Alert
12/12/20124$0.076.75%12/03/201212/14/201212/28/2012Get Alert
09/13/20124$0.076.75%09/12/201209/17/201209/28/2012Get Alert
06/13/20124$0.076.75%06/12/201206/15/201206/29/2012Get Alert

FAQ

Q

When does Global Self Storage (SELF) pay its next dividend?

A

There are no upcoming dividends for Global Self Storage.The last dividend paid out to investors was $0.07 on March 31, 2025

Q

What date did I need to own Global Self Storage (SELF) stock to get the latest dividend?

A

The next dividend payout for Global Self Storage (SELF) will be on March 31, 2025. Investors need to be owners of Global Self Storage (SELF) shares by March 17, 2025.

Q

How much per share is the next Global Self Storage (SELF) dividend?

A

The next dividend for Global Self Storage (SELF) will be on March 31, 2025 and will be $0.07.

Q

What is the dividend yield for Global Self Storage (NASDAQ:SELF)?

A

Global Self Storage has no upcoming dividends reported. The last reported dividend for Global Self Storage (SELF) was $0.07 and will be paid out next on March 31, 2025.

Q

What was the announcement date for the next Global Self Storage (SELF) dividend?

A

There are no upcoming dividends announced for Global Self Storage. The last dividend was announced on March 3, 2025

Q

Why is Global Self Storage (SELF) dividend considered high?

A

There is not enough data to provide an evaluation.

Q

Is Global Self Storage (SELF) a good dividend?

A

There is not enough data to provide an evaluation.

Q

Is the Global Self Storage (SELF) dividend sustainable?

A

There is not enough data to provide an evaluation.

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