"Ex Date" Symbol Company Name Security Type Venue Type Cash Amt. Stock Amt. Freq.
May 13, 2016 WYNN Wynn Resorts Ltd. Common Stock Nasdaq Cash Dividend 0.5 0 Quarterly
May 13, 2016 UNIS Unilife Corp Nasdaq Reverse Split 0 0.1
May 13, 2016 SWGAY Swatch Group AG American Depository Receipts OTC Link Cash Dividend 0.2169
May 13, 2016 SPAN "Span America Medical Systems, Inc." Common Stock Nasdaq Cash Dividend 0.16 0 Quarterly
May 13, 2016 PROV Provident Financial Holdings, Inc. Common Stock Nasdaq Cash Dividend 0.12 0 Quarterly
May 13, 2016 NABZY National Australia Bank Ltd. (Victoria, Australia) American Depository Receipts OTC Link Cash Dividend 0.34417
May 13, 2016 MTPVY Metropole Television SA American Depository Receipts Grey Market Cash Dividend 0.6273
May 13, 2016 MPEL Melco Crown Entertainment Ltd. American Depository Receipts Nasdaq Cash Dividend 0.0219 0 Quarterly
May 13, 2016 MCBBI MCB Bank Ltd. Global Depository Receipts Grey Market Cash Dividend 0.0632
May 13, 2016 LDRI "PowerShares Exchange Traded Fund Trust II" Fund Nasdaq Cash Dividend 0.0389 0 Monthly
May 13, 2016 KLYCY Kunlun Energy Co., Ltd. American Depository Receipts OTC Link Cash Dividend 0.0681
May 13, 2016 ISIL Intersil Corp. Common Stock Nasdaq Cash Dividend 0.12 0 Quarterly
May 13, 2016 HGKGY Power Assets Holdings Ltd. American Depository Receipts OTC Link Cash Dividend 0.2402
May 13, 2016 HAWPY Haw Par Corp. Ltd. American Depository Receipts OTC Link Cash Dividend 0.7769
May 13, 2016 GWRS Global Water Resources, Inc. Nasdaq Cash Dividend 0.02 0 Monthly
May 13, 2016 EDPFY EDP Energias de Portugal SA American Depository Receipts OTC Link Cash Dividend 1.3409
May 13, 2016 DWIN "PowerShares Exchange Traded Fund Trust II" Nasdaq Cash Dividend 0.114 0 Monthly
May 13, 2016 CSNVY Corbion NV American Depository Receipts OTC Link Cash Dividend 0.7671
May 13, 2016 CKISY Cheung Kong Infrastructure Holdings Ltd. American Depository Receipts OTC Link Cash Dividend 0.9495
May 13, 2016 CIVBP Civista Bancshares, Inc. Preferred Stock Nasdaq Cash Dividend 0.4063 0 Quarterly