Dividend Calendar

Tuesday, December 10, 2024

Location

Company

Ex-Dividend Date

Dividend

Type

Payment Date

Yield

Eli Lilly and Company

Nov 15, 2024

1.3

Quarterly

Dec 10, 2024

0.66%

Eli Lilly and Company

Nov 15, 2024 Ex-Dividend Date

QuarterlyType

Dec 10, 2024 Payment Date

1.3Dividend

0.66%Yield

Emerson Electric Company

Nov 15, 2024

0.5275

Quarterly

Dec 10, 2024

1.64%

Emerson Electric Company

Nov 15, 2024 Ex-Dividend Date

QuarterlyType

Dec 10, 2024 Payment Date

0.5275Dividend

1.64%Yield

Gorman-Rupp Company

Nov 15, 2024

0.185

Quarterly

Dec 10, 2024

1.80%

Gorman-Rupp Company

Nov 15, 2024 Ex-Dividend Date

QuarterlyType

Dec 10, 2024 Payment Date

0.185Dividend

1.80%Yield

Marathon Oil Corporation

Nov 15, 2024

0.11

Quarterly

Dec 10, 2024

1.53%

Marathon Oil Corporation

Nov 15, 2024 Ex-Dividend Date

QuarterlyType

Dec 10, 2024 Payment Date

0.11Dividend

1.53%Yield

MSA Safety

Nov 15, 2024

0.51

Quarterly

Dec 10, 2024

1.18%

MSA Safety

Nov 15, 2024 Ex-Dividend Date

QuarterlyType

Dec 10, 2024 Payment Date

0.51Dividend

1.18%Yield

Otter Tail Corporation

Nov 15, 2024

0.4675

Quarterly

Dec 10, 2024

2.35%

Otter Tail Corporation

Nov 15, 2024 Ex-Dividend Date

QuarterlyType

Dec 10, 2024 Payment Date

0.4675Dividend

2.35%Yield

Park National Corporation

Nov 15, 2024

0.5

Other

Dec 10, 2024

2.44%

Park National Corporation

Nov 15, 2024 Ex-Dividend Date

OtherType

Dec 10, 2024 Payment Date

0.5Dividend

2.44%Yield

Exxon Mobil Corp

Nov 14, 2024

0.99

Quarterly

Dec 10, 2024

3.26%

Exxon Mobil Corp

Nov 14, 2024 Ex-Dividend Date

QuarterlyType

Dec 10, 2024 Payment Date

0.99Dividend

3.26%Yield

International Business Machines

Nov 12, 2024

1.67

Quarterly

Dec 10, 2024

3.13%

International Business Machines

Nov 12, 2024 Ex-Dividend Date

QuarterlyType

Dec 10, 2024 Payment Date

1.67Dividend

3.13%Yield

Rollins Inc

Nov 12, 2024

0.165

Quarterly

Dec 10, 2024

1.30%

Rollins Inc

Nov 12, 2024 Ex-Dividend Date

QuarterlyType

Dec 10, 2024 Payment Date

0.165Dividend

1.30%Yield

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