Boston Properties Inc.
ExDate |
Payable Date |
Type |
Amount (%)
|
30 Sep 2025 |
20 Oct 2025 |
Projected |
USD 0.98 (1.21%) |
28 Jun 2025 |
18 Jul 2025 |
Projected |
USD 0.98 (1.21%) |
27 Mar 2025 |
16 Apr 2025 |
Projected |
USD 0.98 (1.21%) |
28 Dec 2024 |
17 Jan 2025 |
Projected |
USD 0.98 (1.21%) |
30 Sep 2024
|
20 Oct 2024*
|
CASH |
USD 0.98 (1.21%) |
28 Jun 2024
|
18 Jul 2024*
|
CASH |
USD 0.98 (1.61%) |
27 Mar 2024
|
16 Apr 2024*
|
CASH |
USD 0.98 (1.59%) |
28 Dec 2023
|
17 Jan 2024*
|
CASH |
USD 0.98 (1.37%) |
28 Sep 2023
|
18 Oct 2023*
|
CASH |
USD 0.98 (1.69%) |
29 Jun 2023
|
19 Jul 2023*
|
CASH |
USD 0.98 (1.72%) |
30 Mar 2023
|
19 Apr 2023*
|
CASH |
USD 0.98 (1.86%) |
29 Dec 2022
|
18 Jan 2023*
|
CASH |
USD 0.98 (1.45%) |
29 Sep 2022
|
19 Oct 2022*
|
CASH |
USD 0.98 (1.32%) |
29 Jun 2022
|
19 Jul 2022*
|
CASH |
USD 0.98 (1.06%) |
30 Mar 2022
|
19 Apr 2022*
|
CASH |
USD 0.98 (0.78%) |
30 Dec 2021
|
19 Jan 2022*
|
CASH |
USD 0.98 (0.85%) |
29 Sep 2021
|
19 Oct 2021*
|
CASH |
USD 0.98 (0.86%) |
29 Jun 2021
|
19 Jul 2021*
|
CASH |
USD 0.98 (0.84%) |
30 Mar 2021
|
19 Apr 2021*
|
CASH |
USD 0.98 (0.96%) |
30 Dec 2020
|
19 Jan 2021*
|
CASH |
USD 0.98 (1.05%) |
29 Sep 2020
|
19 Oct 2020*
|
CASH |
USD 0.98 (1.11%) |
29 Jun 2020
|
19 Jul 2020*
|
CASH |
USD 0.98 (1.03%) |
30 Mar 2020
|
19 Apr 2020*
|
CASH |
USD 0.98 (1.13%) |
30 Dec 2019
|
19 Jan 2020*
|
CASH |
USD 0.98 (0.70%) |
27 Sep 2019
|
17 Oct 2019*
|
CASH |
USD 0.95 (0.73%) |
27 Jun 2019
|
17 Jul 2019*
|
CASH |
USD 0.95 (0.71%) |
28 Mar 2019
|
17 Apr 2019*
|
CASH |
USD 0.95 (0.72%) |
28 Dec 2018
|
17 Jan 2019*
|
CASH |
USD 0.95 (0.84%) |
27 Sep 2018
|
17 Oct 2018*
|
CASH |
USD 0.95 (0.75%) |
28 Jun 2018
|
18 Jul 2018*
|
CASH |
USD 0.8 (0.65%) |
28 Mar 2018
|
17 Apr 2018*
|
CASH |
USD 0.8 (0.67%) |
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate