Dividends of Global Self Storage (id:5774 SELF)


Comperitors' Dividend Yield

Company Market Cap USD Dividend yield Payout ratio CAGR 3 years CAGR 5 years
American Tower 92.92B 3.17 % 158.07 % 12.50 % 15.41 %
Equinix 89.12B 1.82 % 153.65 % 10.84 % 9.70 %
Digital Realty Trust 61.97B 2.57 % 396.75 % 2.89 % 3.85 %
Crown Castle International 45.45B 5.94 % 221.99 % 8.29 % 7.93 %
Iron Mountain 34.13B 2.40 % 740.28 % 0.842 % 1.34 %
SBA Communications 23.83B 1.77 % 59.78 % 22.27 % 0.000 %
Weyerhaeuser 22.54B 2.56 % 108.22 % 42.31 % 2.18 %
Gaming and Leisure Properties 13.56B 5.97 % 105.24 % 8.01 % 4.15 %
Lamar Advertising 12.93B 4.31 % 105.00 % 25.99 % 6.50 %
Rayonier 4.55B 3.67 % 106.54 % 7.46 % 4.80 %

Boxes

Dividend Yield

5.61 %

Payout Ratio

107.41 %

Compound average growth rate 3 years

3.83 %

Dividend Increase Track Record

2 Years

Latest Dividend

September 30th, 2024

Ex-Dividend Date

September 17th, 2024

Payout frequency

8 yearly payouts


Dividend Yield vs Market (countryid: 6, industryId: 113, sectorId: 41 )


Payout Ratio vs Market

Dividend Yield Range


Yield on cost


Dividend payout history


Dividend yield history

Dividend history

Year Amount Type Date
2024 0.072 Regular 09-17-2024
0.072 Regular 06-17-2024
0.072 Regular 03-14-2024
2023 0.073 Regular 12-14-2023
0.072 Special 12-14-2023
0.073 Regular 09-15-2023
0.072 Special 09-15-2023
0.073 Regular 06-14-2023
0.072 Special 06-14-2023
0.073 Regular 03-14-2023
0.072 Special 03-14-2023
2022 0.073 Regular 12-14-2022
0.072 Special 12-14-2022
0.073 Regular 09-15-2022
0.072 Special 09-15-2022
0.065 Regular 06-14-2022
0.065 Special 06-14-2022
0.065 Regular 03-14-2022
0.065 Special 03-14-2022
2021 0.065 Regular 12-14-2021
0.065 Special 12-14-2021
0.065 Regular 09-14-2021
0.065 Special 09-14-2021
0.065 Regular 06-14-2021
0.065 Special 06-14-2021
0.065 Regular 03-12-2021
0.065 Special 03-12-2021
2020 0.065 Regular 12-14-2020
0.065 Special 12-14-2020
0.065 Regular 09-14-2020
0.065 Special 09-14-2020
0.065 Regular 06-12-2020
0.065 Special 06-12-2020
0.065 Regular 03-13-2020
0.065 Special 03-13-2020
2019 0.065 Regular 12-18-2019
0.065 Special 12-18-2019
0.065 Regular 09-16-2019
0.065 Special 09-16-2019
0.065 Regular 06-14-2019
0.065 Special 06-14-2019
0.065 Regular 03-14-2019
0.065 Special 03-14-2019
2018 0.065 Regular 12-14-2018
0.065 Special 12-14-2018
0.065 Regular 09-17-2018
0.065 Special 09-17-2018
0.065 Regular 06-14-2018
0.065 Special 06-14-2018
0.065 Regular 03-14-2018
0.065 Special 03-14-2018
2017 0.065 Regular 12-14-2017
0.065 Special 12-14-2017
0.065 Regular 09-15-2017
0.065 Special 09-15-2017
0.065 Regular 06-13-2017
0.065 Special 06-13-2017
0.065 Regular 03-13-2017
0.065 Special 03-13-2017
2016 0.065 Regular 12-13-2016
0.065 Special 12-13-2016
0.065 Regular 09-14-2016
0.065 Special 09-14-2016
0.065 Regular 06-15-2016
0.065 Special 06-15-2016
0.065 Regular 03-11-2016
0.065 Special 03-11-2016
2015 0.065 Regular 12-11-2015
0.065 Regular 09-14-2015
0.065 Regular 06-12-2015
0.065 Special 06-11-2015
0.065 Regular 03-12-2015
2014 0.065 Regular 12-11-2014
0.065 Regular 09-12-2014
0.065 Regular 06-12-2014
0.065 Regular 03-13-2014
2013 0.152 Regular 12-12-2013
0.065 Regular 09-13-2013
0.065 Regular 06-13-2013
0.065 Regular 03-13-2013
2012 0.065 Regular 12-12-2012
0.065 Regular 09-13-2012
0.065 Regular 06-13-2012
0.065 Regular 03-13-2012
2011 0.065 Regular 12-13-2011
0.065 Regular 09-13-2011
0.065 Regular 06-13-2011
0.065 Regular 03-11-2011
2010 0.055 Regular 12-13-2010
0.055 Regular 09-13-2010
0.055 Regular 06-11-2010
0.055 Regular 03-11-2010
2009 0.080 Regular 12-11-2009
0.055 Regular 09-11-2009
0.050 Regular 06-11-2009
0.050 Regular 03-12-2009
2008 0.060 Regular 12-11-2008
0.060 Regular 09-16-2008
0.060 Regular 06-12-2008
0.060 Regular 03-13-2008
2007 0.055 Regular 12-14-2007
0.055 Regular 09-14-2007
0.055 Regular 06-13-2007
0.055 Regular 03-13-2007
2006 0.070 Regular 12-14-2006
0.070 Regular 09-14-2006
0.070 Regular 06-13-2006
0.070 Regular 03-13-2006
2005 0.070 Regular 12-13-2005
0.070 Regular 09-14-2005
0.070 Regular 06-14-2005
0.070 Regular 03-15-2005
2004 0.095 Regular 12-15-2004
0.080 Regular 09-14-2004
0.080 Regular 06-14-2004
0.080 Regular 03-15-2004
2003 0.080 Regular 12-15-2003
0.080 Regular 09-12-2003
0.090 Regular 06-12-2003
0.110 Regular 03-13-2003
2002 0.120 Regular 12-12-2002
0.120 Regular 09-12-2002
0.120 Regular 06-12-2002
0.140 Regular 03-13-2002
2001 0.140 Regular 12-12-2001
0.048 Regular 09-20-2001
0.048 Regular 08-22-2001
0.048 Regular 07-18-2001
0.048 Regular 06-13-2001
0.048 Regular 05-14-2001
0.048 Regular 04-17-2001
0.048 Regular 03-14-2001
0.048 Regular 02-13-2001
0.048 Regular 01-16-2001
2000 0.048 Regular 12-14-2000
0.048 Regular 11-09-2000
0.048 Regular 10-12-2000
0.048 Regular 09-14-2000
0.048 Regular 08-14-2000
0.048 Regular 07-13-2000
0.048 Regular 06-14-2000
0.048 Regular 05-11-2000
0.048 Regular 04-13-2000
0.048 Regular 03-15-2000
0.048 Regular 02-10-2000
0.048 Regular 01-12-2000
1999 0.050 Regular 12-17-1999
0.050 Regular 11-15-1999
0.050 Regular 10-13-1999
0.050 Regular 09-30-1999
0.050 Regular 08-16-1999
0.051 Regular 07-14-1999
0.051 Regular 06-14-1999
0.050 Regular 05-12-1999
0.050 Regular 04-14-1999
0.050 Regular 03-16-1999
0.070 Regular 02-10-1999
0.070 Regular 01-13-1999
1998 0.060 Regular 12-17-1998
0.060 Regular 11-13-1998
0.060 Regular 10-14-1998
0.070 Regular 09-16-1998
0.060 Regular 08-14-1998
0.060 Regular 07-15-1998
0.070 Regular 06-15-1998
0.070 Regular 05-14-1998
0.070 Regular 04-15-1998
0.070 Regular 03-16-1998
0.070 Regular 02-11-1998
0.070 Regular 01-14-1998
1997 0.070 Regular 12-17-1997
0.070 Regular 11-12-1997
0.070 Regular 10-15-1997
0.070 Regular 09-17-1997
0.070 Regular 08-13-1997
0.070 Regular 07-16-1997
0.070 Regular 06-12-1997
0.050 Regular 05-14-1997

DividendIncreaseOrDecrease


Dividend table

Chowder Number7.89 % (Bad, because Chowder number is smaller than 15%)
Compound Average Growth Rate for last 3 years cal3.83 %
Compound Average Growth Rate for last 3 years3.83 %
Compound Average Growth Rate for last 5 years2.28 %
Compound Average Growth Rate for last 10 years5.31 %
Dividend growth2 years
Dividend growth average for all REIT Specialty stocks2.85 years (20 stocks)
Dividend growth average for United States REIT Specialty stocks3.17 years (18 stocks)
forward_annual_dividend_rate0.290 USD
forward_annual_dividend_yield5.61 %
forward_annual_dividend_yield average for all REIT Specialty stocks4.17 % (20 stocks)
forward_annual_dividend_yield average for United States REIT Specialty stocks4.18 % (18 stocks)
trailing_annual_dividend_rate0.290 USD
trailing_annual_dividend_yield5.59 %
trailing_annual_dividend_yield average for all REIT Specialty stocks0.038 % (20 stocks)
trailing_annual_dividend_yield average for United States REIT Specialty stocks0.041 % (18 stocks)
5_year_average_dividend_yield5.68 %
5_year_average_dividend_yield average for all REIT Specialty stocks4.25 % (20 stocks)
5_year_average_dividend_yield average for United States REIT Specialty stocks4.17 % (18 stocks)
payout_ratio107.41 %
payout_ratio average for all REIT Specialty stocks245.11 % (20 stocks)
payout_ratio average for United States REIT Specialty stocks267.88 % (18 stocks)
dividend_date09-30-2024
ex_dividend_date09-17-2024

Self funded chart

Years before free

Years before free16
Year free2040

Self funded table

Year numberYearSum
120250.290
220260.587
320270.890
420281.20
520291.52
620301.84
720312.17
820322.51
920332.86
1020343.22
1120353.58
1220363.95
1320374.33
1420384.72
1520395.12
1620405.52

DividentYearsScore: 17

Dividened Top table

American Tower Corp11
Crown Castle International Corp9
AVG10

Dividened Bottom table

Iron Mountain Inc1
Rayonier Inc2
AVG1.5

Monthly Dividends

The table displays the monthly dividend distributions for Global Self Storage Inc. The dividends shown in the table have been adjusted to account for any splits that may have occurred.

January February March April May June July August September October November December Total
2014
0.00 USD
0.00 USD
0.06 USD
0.00 USD
0.00 USD
0.06 USD
0.00 USD
0.00 USD
0.06 USD
0.00 USD
0.00 USD
0.06 USD
0.26 USD
2015
0.00 USD
0.00 USD
0.06 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.06 USD
0.00 USD
0.00 USD
0.06 USD
0.32 USD
2016
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.52 USD
2017
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.52 USD
2018
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.52 USD
2019
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.52 USD
2020
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.52 USD
2021
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.52 USD
2022
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.13 USD
0.00 USD
0.00 USD
0.15 USD
0.00 USD
0.00 USD
0.15 USD
0.55 USD
2023
0.00 USD
0.00 USD
0.15 USD
0.00 USD
0.00 USD
0.15 USD
0.00 USD
0.00 USD
0.15 USD
0.00 USD
0.00 USD
0.15 USD
0.58 USD

FAQ

Yes, Global Self Storage Inc pays a dividend. The dividend was last paid on the September 30th, 2024.

The last dividend paid by Global Self Storage Inc was USD 0.290 per share on September 30th, 2024.

The last dividend paid by Global Self Storage Inc was 0.072 USD per share on December 14th, 2023.

Global Self Storage Inc next scheduled ex-dividend date is September 17th, 2024.

Global Self Storage Inc has been paying dividends for the past 2 years.

Yes, Global Self Storage Inc has a history of special dividend payouts, with the last special dividend issued on December 14th, 2023.

The payout ratio of Global Self Storage Inc is 107.41%, meaning that 107.41% of the profits are paid out as dividends.

Global Self Storage Inc dividend payout ratio of 107.41% is below the industry average of 245.11%.

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