Posted On: 06/10/2014 1:06:24 AM
Post# of 250676

Stock Scheduled Dividends Tuesday, June 10, 2014 00:06:39 AM
"Sch. Ex Date" Symbol Company Name Security Type Venue Type Cash Amt. Stock Amt. Freq.
Jul 10, 2014 WELPM Wisconsin Electric Power Co. Preferred Stock OTC Link Cash Dividend 1.5 0 Quarterly
Jul 10, 2014 TATLY Tata Steel, Ltd. Global Depository Receipts Grey Market Cash Dividend 0.1513 0
Jul 10, 2014 OSM SLM Corp. Structured Product Nasdaq Cash Dividend 0 0 Monthly
Jul 10, 2014 ISM SLM Corp. Structured Product Nasdaq Cash Dividend 0 0 Monthly
Jul 10, 2014 AILNP Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.9375 0 Quarterly
Jul 10, 2014 AILLP Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1 0 Quarterly
Jul 10, 2014 AILLO Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.0625 0 Quarterly
Jul 10, 2014 AILLN Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.225 0 Quarterly
Jul 10, 2014 AILLM Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.23 0 Quarterly
Jul 10, 2014 AILLL Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 0.41406 0 Quarterly
Jul 10, 2014 AILLI Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.29 0 Quarterly
Jul 10, 2014 AILIP Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.05 0 Quarterly
Jul 10, 2014 AILIO Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.065 0 Quarterly
Jul 10, 2014 AILIN Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.105 0 Quarterly
Jul 10, 2014 AILIM Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.175 0 Quarterly
Jul 10, 2014 AILIH Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.02 0 Quarterly
Jul 9, 2014 WIRE Encore Wire Corp. Common Stock Nasdaq Cash Dividend 0.02 0 Quarterly
Jul 9, 2014 RESY Reconditioned Systems, Inc. Common Stock OTC Link Cash Dividend 0.15 0 Annual
Jul 9, 2014 MORN Morningstar, Inc. Common Stock Nasdaq Cash Dividend 0.17 0 Quarterly
Jul 9, 2014 MFOYY Megafon OJSC Global Depository Receipts Grey Market Cash Dividend 1.59859 0
"Sch. Ex Date" Symbol Company Name Security Type Venue Type Cash Amt. Stock Amt. Freq.
Jul 10, 2014 WELPM Wisconsin Electric Power Co. Preferred Stock OTC Link Cash Dividend 1.5 0 Quarterly
Jul 10, 2014 TATLY Tata Steel, Ltd. Global Depository Receipts Grey Market Cash Dividend 0.1513 0
Jul 10, 2014 OSM SLM Corp. Structured Product Nasdaq Cash Dividend 0 0 Monthly
Jul 10, 2014 ISM SLM Corp. Structured Product Nasdaq Cash Dividend 0 0 Monthly
Jul 10, 2014 AILNP Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.9375 0 Quarterly
Jul 10, 2014 AILLP Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1 0 Quarterly
Jul 10, 2014 AILLO Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.0625 0 Quarterly
Jul 10, 2014 AILLN Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.225 0 Quarterly
Jul 10, 2014 AILLM Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.23 0 Quarterly
Jul 10, 2014 AILLL Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 0.41406 0 Quarterly
Jul 10, 2014 AILLI Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.29 0 Quarterly
Jul 10, 2014 AILIP Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.05 0 Quarterly
Jul 10, 2014 AILIO Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.065 0 Quarterly
Jul 10, 2014 AILIN Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.105 0 Quarterly
Jul 10, 2014 AILIM Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.175 0 Quarterly
Jul 10, 2014 AILIH Ameren Illinois Company Preferred Stock OTC Link Cash Dividend 1.02 0 Quarterly
Jul 9, 2014 WIRE Encore Wire Corp. Common Stock Nasdaq Cash Dividend 0.02 0 Quarterly
Jul 9, 2014 RESY Reconditioned Systems, Inc. Common Stock OTC Link Cash Dividend 0.15 0 Annual
Jul 9, 2014 MORN Morningstar, Inc. Common Stock Nasdaq Cash Dividend 0.17 0 Quarterly
Jul 9, 2014 MFOYY Megafon OJSC Global Depository Receipts Grey Market Cash Dividend 1.59859 0

