"Ex Date" Symbol Company Name Security Type Venue Type Cash Amt. Stock Amt. Freq.
Jun 22, 2016 YDIV "International Multi Asset Diversified Income Index Fund" Nasdaq Cash Dividend 0.1647 0 Monthly
Jun 22, 2016 XRAY DENTSPLY SIRONA Inc. Common Stock Nasdaq Cash Dividend 0.0775 0 Quarterly
Jun 22, 2016 VSBN VSB Bancorp, Inc. Common Stock OTC Link Cash Dividend 0.07
Jun 22, 2016 VDMCY Vodacom Group Ltd. American Depository Receipts OTC Link Cash Dividend 0.2055
Jun 22, 2016 UUGRY United Utilities Group PLC American Depository Receipts OTC Link Cash Dividend 0.7298
Jun 22, 2016 USEG U.S. Energy Corp. Common Stock Nasdaq Reverse Split 0 0.166666
Jun 22, 2016 SPLS Staples, Inc. Common Stock Nasdaq Cash Dividend 0.12 0 Quarterly
Jun 22, 2016 SLUXY Shandong Luoxin Pharmaceuticals Group Stock Co., Ltd. American Depository Receipts OTC Link Cash Dividend 0.4587
Jun 22, 2016 SKYY "First Trust Exchange Traded Fund II" Nasdaq Cash Dividend 0.042 0 Quarterly
Jun 22, 2016 SCZ iShares Trust Nasdaq Cash Dividend 0.676 0 "Semi Annual"
Jun 22, 2016 RFEU First Tr Exchange Traded FD III Nasdaq Cash Dividend 0.7053 0 Quarterly
Jun 22, 2016 RFDI First Tr Exchange Traded FD III Nasdaq Cash Dividend 0.5454 0 Quarterly
Jun 22, 2016 RFAP First Tr Exchange Traded FD III Nasdaq Cash Dividend 0.0764 0 Quarterly
Jun 22, 2016 RDVY First Trust NASDAQ Rising Dividend Achievers ETF Nasdaq Cash Dividend 0.1395 0 Quarterly
Jun 22, 2016 QYLD Recon Capital Series Trust "Exchange Traded Fund" Nasdaq Cash Dividend 0.2024 0 Monthly
Jun 22, 2016 QTEC "First Trust NASDAQ 100 Technology Sector Index Fund" Common Stock Nasdaq Cash Dividend 0.1263 0 Quarterly
Jun 22, 2016 QQXT "First Trust Exchange Traded Fund" Fund Nasdaq Cash Dividend 0.0417 0 Quarterly
Jun 22, 2016 QQEW "First Trust NASDAQ 100 Equal Weighted Index Fund" Common Stock Nasdaq Cash Dividend 0.0713 0 Quarterly
Jun 22, 2016 QINC First Trust High Income ETF "Exchange Traded Fund" Nasdaq Cash Dividend 0.1391 0 Quarterly
Jun 22, 2016 QCLN "First Trust Exchange Traded Fund" Fund Nasdaq Cash Dividend 0.0515 0 Quarterly