USX:SIPIX - SEI Institutional Managed Trust Mid-Cap Portfolio Fund Class I SIMT MID CAP FUND SIMT MID CAP
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Summary


ExDate Payable Date Type Amount (%)
4 Apr 2025 5 Apr 2025 Projected USD 0.0003 (0.0%)
27 Dec 2024 28 Dec 2024 Projected USD 0.0457 (0.16%)
4 Oct 2024 5 Oct 2024 Projected USD 0.0156 (0.05%)
4 Apr 2024 5 Apr 2024 CASH USD 0.0003 (0.0%)
27 Dec 2023 28 Dec 2023 CASH USD 0.0457 (0.16%)
4 Oct 2023 5 Oct 2023 CASH USD 0.0156 (0.06%)
4 Apr 2023 5 Apr 2023 CASH USD 0.0366 (0.14%)
28 Dec 2022 29 Dec 2022 CASH USD 0.0517 (0.21%)
5 Oct 2022 6 Oct 2022 CASH USD 0.0429 (0.18%)
6 Jul 2022 7 Jul 2022 CASH USD 0.0217 (0.09%)
5 Apr 2022 6 Apr 2022 CASH USD 0.0165 (0.06%)
29 Dec 2021 30 Dec 2021 CASH USD 0.0418 (0.14%)
15 Dec 2021 16 Dec 2021 CASH USD 5.6835 (16.98%)
7 Jul 2021 8 Jul 2021 CASH USD 0.0111 (0.03%)
5 Apr 2021 6 Apr 2021 CASH USD 0.0337 (0.11%)
29 Dec 2020 30 Dec 2020 CASH USD 0.0605 (0.22%)
5 Oct 2020 6 Oct 2020 CASH USD 0.0519 (0.22%)
6 Jul 2020 7 Jul 2020 CASH USD 0.0343 (0.15%)
6 Apr 2020 7 Apr 2020 CASH USD 0.1111 (0.65%)
27 Dec 2019 30 Dec 2019 CASH USD 0.0474 (0.18%)
12 Dec 2019 13 Dec 2019 CASH USD 0.3369 (1.29%)
7 Oct 2019 27 Oct 2019* CASH USD 0.052 (0.21%)
8 Jul 2019 9 Jul 2019 CASH USD 0.0471 (0.19%)
8 Apr 2019 9 Apr 2019 CASH USD 0.0238 (0.09%)
27 Dec 2018 28 Dec 2018 CASH USD 0.0478 (0.23%)
13 Dec 2018 14 Dec 2018 CASH USD 2.7845 (10.83%)
3 Oct 2018 4 Oct 2018 CASH USD 0.0331 (0.11%)
6 Jul 2018 9 Jul 2018 CASH USD 0.0447 (0.16%)
5 Apr 2018 6 Apr 2018 CASH USD 0.0372 (0.14%)
27 Dec 2017 28 Dec 2017 CASH USD 0.0286 (0.10%)
13 Dec 2017 14 Dec 2017 CASH USD 2.034 (6.95%)
4 Oct 2017 5 Oct 2017 CASH USD 0.0286 (0.10%)
6 Jul 2017 7 Jul 2017 CASH USD 0.0094 (0.04%)
6 Apr 2017 7 Apr 2017 CASH USD 0.0416 (0.16%)
28 Dec 2016 29 Dec 2016 CASH USD 0.0262 (0.10%)
14 Dec 2016 15 Dec 2016 CASH USD 0.1896 (0.74%)
5 Oct 2016 6 Oct 2016 CASH USD 0.0293 (0.12%)
6 Jul 2016 7 Jul 2016 CASH USD 0.0315 (0.14%)
6 Apr 2016 7 Apr 2016 CASH USD 0.0817 (0.37%)
29 Dec 2015 30 Dec 2015 CASH USD 0.1286 (0.58%)
10 Dec 2015 11 Dec 2015 CASH USD 3.8657 (14.95%)
2 Oct 2015 5 Oct 2015 CASH USD 0.0374 (0.15%)
7 Jul 2015 8 Jul 2015 CASH USD 0.0185 (0.07%)
1 Apr 2015 2 Apr 2015 CASH USD 0.0147 (0.05%)
9 Dec 2014 10 Dec 2014 CASH USD 2.6688 (9.32%)
27 Mar 2014 28 Mar 2014 CASH USD 0.0019 (0.01%)
27 Dec 2013 30 Dec 2013 CASH USD 0.0068 (0.03%)
10 Dec 2013 11 Dec 2013 CASH USD 0.7436 (2.84%)
2 Jul 2013 3 Jul 2013 CASH USD 0.0271 (0.12%)
26 Mar 2013 27 Mar 2013 CASH USD 0.0055 (0.03%)
27 Dec 2012 28 Dec 2012 CASH USD 0.0403 (0.21%)
2 Oct 2012 3 Oct 2012 CASH USD 0.0121 (0.06%)
3 Jul 2012 5 Jul 2012 CASH USD 0.0359 (0.20%)
28 Dec 2011 29 Dec 2011 CASH USD 0.0184 (0.11%)
4 Oct 2011 5 Oct 2011 CASH USD 0.0072 (0.05%)
5 Jul 2011 6 Jul 2011 CASH USD 0.0136 (0.07%)
29 Mar 2011 30 Mar 2011 CASH USD 0.0099 (0.05%)
4 Oct 2010 5 Oct 2010 CASH USD 0.0203 (0.13%)
2 Jul 2010 6 Jul 2010 CASH USD 0.0115 (0.08%)
29 Mar 2010 30 Mar 2010 CASH USD 0.0005 (0.0%)
29 Dec 2009 30 Dec 2009 CASH USD 0.0163 (0.11%)
30 Oct 2009 19 Nov 2009* CASH USD 0.022 (0.16%)
2 Oct 2009 5 Oct 2009 CASH USD 0.0131 (0.10%)
27 Mar 2009 30 Mar 2009 CASH USD 0.0395 (0.38%)
29 Dec 2008 30 Dec 2008 CASH USD 0.0326 (0.31%)
2 Oct 2008 3 Oct 2008 CASH USD 0.0284 (0.19%)
2 Jul 2008 3 Jul 2008 CASH USD 0.0219 (0.12%)
27 Mar 2008 28 Mar 2008 CASH USD 0.0007 (0.0%)
27 Dec 2007 28 Dec 2007 CASH USD 0.0177 (0.09%)
5 Dec 2007 6 Dec 2007 CASH USD 2.0898 (9.90%)
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate

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