Stock Ex-Dividends Tuesday, May 12, 2015 05:10:28
Post# of 250601
"Ex Date" Symbol Company Name Security Type Venue Type Cash Amt. Stock Amt. Freq.
May 12, 2015 WELPP Wisconsin Electric Power Co. Preferred Stock OTC Link Cash Dividend 0.9
May 12, 2015 WAFD Washington Federal, Inc. Common Stock Nasdaq Cash Dividend 0.13 0 Quarterly
May 12, 2015 UDBKL United Bank Ltd. Global Depository Receipts Grey Market Cash Dividend 0.1003
May 12, 2015 TTEK Tetra Tech, Inc. Common Stock Nasdaq Cash Dividend 0.08 0 Quarterly
May 12, 2015 TSBK Timberland Bancorp, Inc. Common Stock Nasdaq Cash Dividend 0.06 0 Quarterly
May 12, 2015 TBNK Territorial Bancorp Inc. Common Stock Nasdaq Cash Dividend 0.16 0 Quarterly
May 12, 2015 TAXI Medallion Financial Corp. Common Stock Nasdaq Cash Dividend 0.25 0 Quarterly
May 12, 2015 SZEVY Suez Environnement Co SA American Depository Receipts OTC Link Cash Dividend 0.2503
May 12, 2015 SWKS Skyworks Solutions, Inc. Common Stock Nasdaq Cash Dividend 0.13 0 Quarterly
May 12, 2015 SIOLY "Sino Ocean Land" American Depository Receipts OTC Link Cash Dividend 0.3829
May 12, 2015 RUTH Ruth's Hospitality Group, Inc. Common Stock Nasdaq Cash Dividend 0.06 0 Quarterly
May 12, 2015 PGENY Pigeon Corp. American Depository Receipts OTC Link Stock Dividend/Split 3
May 12, 2015 OSM SLM Corp. Structured Product Nasdaq Cash Dividend 0.0393 0 Monthly
May 12, 2015 OPTY Opportunity Management Co., Inc. Common Stock OTC Link Cash Dividend 0.077
May 12, 2015 OFED Oconee Federal Financial Corp. Common Stock Nasdaq Cash Dividend 0.1 0 Quarterly
May 12, 2015 MCBC Macatawa Bank Corp. Common Stock Nasdaq Cash Dividend 0.03 0 Quarterly
May 12, 2015 JCYGY Jardine Cycle & Carriage Limited American Depository Receipts OTC Link Cash Dividend 1.29
May 12, 2015 ISM SLM Corp. Structured Product Nasdaq Cash Dividend 0.0403 0 Monthly
May 12, 2015 HTHKY Hutchison Telecommunications Hong Kong Holdings Ltd. American Depository Receipts OTC Link Cash Dividend 0.1482
May 12, 2015 HTBK Heritage Commerce Corp. Common Stock Nasdaq Cash Dividend 0.08 0 Quarterly