Sqn Secured Income Fund PLC
Sector:
Financials,
Industry:
Asset Management & Custody Banks
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Note: This stock seems to be inactive
ExDate |
Payable Date |
Type |
Amount (%)
|
7 Jul 2024 |
17 Jul 2024 |
Projected |
GBP 0.06 (32.43%) |
7 Jul 2023
|
17 Jul 2023
|
CASH |
GBP 0.06 (50%) |
18 Nov 2022
|
28 Nov 2022
|
CASH |
GBP 0.03 (22.22%) |
15 Sep 2022
|
7 Oct 2022
|
CASH |
GBP 0.0075 (5.88%) |
6 Jun 2022
|
15 Jun 2022
|
CASH |
GBP 0.06 (29.27%) |
29 Dec 2021
|
6 Jan 2022
|
CASH |
GBP 0.025 (13.51%) |
16 Jul 2021
|
23 Jul 2021
|
CASH |
GBP 0.06 (13.64%) |
14 May 2021
|
21 May 2021
|
CASH |
GBP 0.07 (11.67%) |
24 Mar 2021
|
31 Mar 2021
|
CASH |
GBP 0.125 (17.36%) |
3 Dec 2020
|
23 Dec 2020
|
CASH |
GBP 0.05 (7.46%) |
3 Sep 2020
|
25 Sep 2020
|
CASH |
GBP 0.035 (4.90%) |
6 Aug 2020
|
28 Aug 2020
|
CASH |
GBP 0.0058 (0.76%) |
2 Jul 2020
|
24 Jul 2020
|
CASH |
GBP 0.0058 (0.76%) |
4 Jun 2020
|
26 Jun 2020
|
CASH |
GBP 0.0058 (0.76%) |
7 May 2020
|
29 May 2020
|
CASH |
GBP 0.0058 (0.75%) |
2 Apr 2020
|
24 Apr 2020
|
CASH |
GBP 0.0058 (0.78%) |
5 Mar 2020
|
27 Mar 2020
|
CASH |
GBP 0.0058 (0.69%) |
6 Feb 2020
|
28 Feb 2020
|
CASH |
GBP 0.0058 (0.68%) |
2 Jan 2020
|
24 Jan 2020
|
CASH |
GBP 0.0058 (0.68%) |
5 Dec 2019
|
27 Dec 2019
|
CASH |
GBP 0.0058 (0.66%) |
7 Nov 2019
|
29 Nov 2019
|
CASH |
GBP 0.0058 (0.65%) |
3 Oct 2019
|
25 Oct 2019
|
CASH |
GBP 0.0058 (0.63%) |
5 Sep 2019
|
27 Sep 2019
|
CASH |
GBP 0.0058 (0.64%) |
1 Aug 2019
|
23 Aug 2019
|
CASH |
GBP 0.0058 (0.63%) |
4 Jul 2019
|
26 Jul 2019
|
CASH |
GBP 0.0058 (0.63%) |
6 Jun 2019
|
28 Jun 2019
|
CASH |
GBP 0.0058 (0.63%) |
2 May 2019
|
24 May 2019
|
CASH |
GBP 0.0058 (0.63%) |
4 Apr 2019
|
26 Apr 2019
|
CASH |
GBP 0.0058 (0.63%) |
7 Mar 2019
|
29 Mar 2019
|
CASH |
GBP 0.0058 (0.63%) |
7 Feb 2019
|
22 Feb 2019
|
CASH |
GBP 0.0058 (0.63%) |
3 Jan 2019
|
25 Jan 2019
|
CASH |
GBP 0.0058 (0.63%) |
6 Dec 2018
|
28 Dec 2018
|
CASH |
GBP 0.0058 (0.63%) |
1 Nov 2018
|
23 Nov 2018
|
CASH |
GBP 0.0058 (0.64%) |
4 Oct 2018
|
26 Oct 2018
|
CASH |
GBP 0.0058 (0.64%) |
6 Sep 2018
|
28 Sep 2018
|
CASH |
GBP 0.0058 (0.65%) |
2 Aug 2018
|
31 Aug 2018
|
CASH |
GBP 0.0053 (0.58%) |
5 Jul 2018
|
27 Jul 2018
|
CASH |
GBP 0.0053 (0.58%) |
7 Jun 2018
|
29 Jun 2018
|
CASH |
GBP 0.0053 (0.58%) |
3 May 2018
|
25 May 2018
|
CASH |
GBP 0.0053 (0.57%) |
5 Apr 2018
|
27 Apr 2018
|
CASH |
GBP 0.0053 (0.58%) |
1 Mar 2018
|
23 Mar 2018
|
CASH |
GBP 0.0053 (0.57%) |
1 Feb 2018
|
23 Feb 2018
|
CASH |
GBP 0.0053 (0.57%) |
4 Jan 2018
|
26 Jan 2018
|
CASH |
GBP 0.0053 (0.57%) |
7 Dec 2017
|
29 Dec 2017
|
CASH |
GBP 0.0053 (0.55%) |
2 Nov 2017
|
24 Nov 2017
|
CASH |
GBP 0.0053 (0.55%) |
5 Oct 2017
|
27 Oct 2017
|
CASH |
GBP 0.0053 (0.55%) |
7 Sep 2017
|
29 Sep 2017
|
CASH |
GBP 0.0053 (0.54%) |
3 Aug 2017
|
25 Aug 2017
|
CASH |
GBP 0.0053 (0.54%) |
6 Jul 2017
|
28 Jul 2017
|
CASH |
GBP 0.0053 (0.54%) |
1 Jun 2017
|
23 Jun 2017
|
CASH |
GBP 0.0053 (0.54%) |
4 May 2017
|
26 May 2017
|
CASH |
GBP 0.0068 (0.69%) |
6 Apr 2017
|
28 Apr 2017
|
CASH |
GBP 0.6 (61.54%) |
2 Mar 2017
|
22 Mar 2017*
|
CASH |
GBP 0.006 (0.66%) |
2 Feb 2017
|
22 Feb 2017*
|
CASH |
GBP 0.006 (0.64%) |
5 Jan 2017
|
25 Jan 2017*
|
CASH |
GBP 0.006 (0.64%) |
1 Dec 2016
|
21 Dec 2016*
|
CASH |
GBP 0.006 (0.64%) |
3 Nov 2016
|
23 Nov 2016*
|
CASH |
GBP 0.006 (0.63%) |
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate