Unit/Purpose US Cash Fund (OTCBB:PSUCF) Dividend History
Click to see Unit/Purpose US Cash Fund Dividend Data, Dates and more financial information, or here to see PSUCF Projected 10 Year Dividend Yield.
Unit/Purpose US Cash Fund (OTCBB:PSUCF) Dividend Information | |||||
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Unit/Purpose US Cash Fund (OTCBB:PSUCF) Dividend History | |||||
Unit/Purpose US Cash FundPSUCF 2024 Dividends | |||||
Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
Nov. 18, 202411/18/24 | Nov. 27, 202411/27/24 | Nov. 27, 202411/27/24 | Dec. 03, 202412/3/24 | 0 | 0.360 |
Oct. 22, 202410/22/24 | Oct. 29, 202410/29/24 | Oct. 29, 202410/29/24 | Nov. 04, 202411/4/24 | 1 | 0.428 |
Sep. 18, 20249/18/24 | Sep. 26, 20249/26/24 | Sep. 26, 20249/26/24 | Oct. 02, 202410/2/24 | 0 | 0.405 |
Aug. 19, 20248/19/24 | Aug. 28, 20248/28/24 | Aug. 28, 20248/28/24 | Sep. 04, 20249/4/24 | 1 | 0.427 |
Jul. 19, 20247/19/24 | Jul. 29, 20247/29/24 | Jul. 29, 20247/29/24 | Aug. 02, 20248/2/24 | 1 | 0.468 |
Jun. 18, 20246/18/24 | Jun. 26, 20246/26/24 | Jun. 26, 20246/26/24 | Jul. 03, 20247/3/24 | 0 | 0.397 |
May. 17, 20245/17/24 | May. 29, 20245/29/24 | May. 29, 20245/29/24 | Jun. 04, 20246/4/24 | 0 | 0.469 |
Apr. 17, 20244/17/24 | Apr. 26, 20244/26/24 | Apr. 26, 20244/26/24 | May. 07, 20245/7/24 | 0 | 0.426 |
Mar. 18, 20243/18/24 | Mar. 27, 20243/27/24 | Mar. 27, 20243/27/24 | Apr. 05, 20244/5/24 | 0 | 0.397 |
Feb. 16, 20242/16/24 | Feb. 28, 20242/28/24 | Feb. 28, 20242/28/24 | Mar. 07, 20243/7/24 | 0 | 0.411 |
Jan. 18, 20241/18/24 | Jan. 30, 20241/30/24 | Jan. 30, 20241/30/24 | Feb. 07, 20242/7/24 | 0 | 0.429 |
Dec. 18, 202312/18/23 | Dec. 29, 202312/29/23 | Dec. 29, 202312/29/23 | Jan. 08, 20241/8/24 | 0 | 0.478 |
Unit/Purpose US Cash FundPSUCF 2024 Total: | 5.094 | ||||
Unit/Purpose US Cash FundPSUCF 2023 Dividends | |||||
Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
Nov. 17, 202311/17/23 | Nov. 29, 202311/29/23 | Nov. 29, 202311/29/23 | Dec. 07, 202312/7/23 | 0 | 0.455 |
Oct. 18, 202310/18/23 | Oct. 30, 202310/30/23 | Oct. 30, 202310/30/23 | Nov. 07, 202311/7/23 | 0 | 0.486 |
Sep. 18, 20239/18/23 | Sep. 28, 20239/28/23 | Sep. 28, 20239/28/23 | Oct. 10, 202310/10/23 | 0 | 0.440 |
Aug. 18, 20238/18/23 | Aug. 30, 20238/30/23 | Aug. 30, 20238/30/23 | Sep. 08, 20239/8/23 | 0 | 0.501 |
Jul. 18, 20237/18/23 | Jul. 28, 20237/28/23 | Jul. 28, 20237/28/23 | Aug. 08, 20238/8/23 | 0 | 0.420 |
Jun. 19, 20236/19/23 | Jun. 29, 20236/29/23 | Jun. 29, 20236/29/23 | Jul. 10, 20237/10/23 | 0 | 0.434 |
May. 18, 20235/18/23 | May. 30, 20235/30/23 | May. 30, 20235/30/23 | Jun. 07, 20236/7/23 | 0 | 0.474 |
Apr. 17, 20234/17/23 | Apr. 27, 20234/27/23 | Apr. 27, 20234/27/23 | May. 05, 20235/5/23 | 0 | 0.386 |
Mar. 20, 20233/20/23 | Mar. 30, 20233/30/23 | Mar. 30, 20233/30/23 | Apr. 10, 20234/10/23 | 0 | 0.412 |
Feb. 15, 20232/15/23 | Feb. 27, 20232/27/23 | Feb. 27, 20232/27/23 | Mar. 07, 20233/7/23 | 0 | 0.402 |
Jan. 19, 20231/19/23 | Jan. 27, 20231/27/23 | Jan. 27, 20231/27/23 | Feb. 07, 20232/7/23 | 0 | 0.336 |
Dec. 20, 202212/20/22 | Dec. 30, 202212/30/22 | Dec. 30, 202212/30/22 | Jan. 09, 20231/9/23 | 0 | 0.378 |
Unit/Purpose US Cash FundPSUCF 2023 Total: | 5.123 | ||||
Unit/Purpose US Cash FundPSUCF 2022 Dividends | |||||
Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
Nov. 17, 202211/17/22 | Nov. 29, 202211/29/22 | Nov. 29, 202211/29/22 | Dec. 07, 202212/7/22 | 0 | 0.343 |
Oct. 18, 202210/18/22 | Oct. 28, 202210/28/22 | Oct. 28, 202210/28/22 | Nov. 07, 202211/7/22 | 0 | 0.260 |
Sep. 21, 20229/21/22 | Sep. 29, 20229/29/22 | Sep. 29, 20229/29/22 | Oct. 07, 202210/7/22 | 0 | 0.226 |
Aug. 18, 20228/18/22 | Aug. 30, 20228/30/22 | Aug. 30, 20228/30/22 | Sep. 08, 20229/8/22 | 0 | 0.228 |
Jul. 15, 20227/15/22 | Jul. 28, 20227/28/22 | Jul. 28, 20227/28/22 | Aug. 08, 20228/8/22 | 0 | 0.142 |
Jun. 17, 20226/17/22 | Jun. 29, 20226/29/22 | Jun. 29, 20226/29/22 | Jul. 08, 20227/8/22 | 0 | 0.122 |
May. 17, 20225/17/22 | May. 27, 20225/27/22 | May. 27, 20225/27/22 | Jun. 07, 20226/7/22 | 0 | 0.075 |
Apr. 19, 20224/19/22 | Apr. 28, 20224/28/22 | Apr. 28, 20224/28/22 | May. 06, 20225/6/22 | 0 | 0.042 |
Mar. 18, 20223/18/22 | Mar. 30, 20223/30/22 | Mar. 29, 20223/29/22 | Apr. 07, 20224/7/22 | 0 | 0.035 |
Feb. 15, 20222/15/22 | Feb. 25, 20222/25/22 | Feb. 25, 20222/25/22 | Mar. 07, 20223/7/22 | 0 | 0.020 |
Jan. 20, 20221/20/22 | Jan. 28, 20221/28/22 | Jan. 28, 20221/28/22 | Feb. 07, 20222/7/22 | 0 | 0.022 |
Dec. 17, 202112/17/21 | Dec. 31, 202112/31/21 | Dec. 31, 202112/31/21 | Jan. 10, 20221/10/22 | 0 | 0.027 |
Unit/Purpose US Cash FundPSUCF 2022 Total: | 1.542 | ||||
Unit/Purpose US Cash FundPSUCF 2021 Dividends | |||||
Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
Nov. 17, 202111/17/21 | Nov. 29, 202111/29/21 | Nov. 29, 202111/29/21 | Dec. 07, 202112/7/21 | 0 | 0.024 |
Oct. 19, 202110/19/21 | Oct. 28, 202110/28/21 | Oct. 28, 202110/28/21 | Nov. 05, 202111/5/21 | 0 | 0.023 |
Sep. 16, 20219/16/21 | Sep. 28, 20219/28/21 | Sep. 28, 20219/28/21 | Oct. 07, 202110/7/21 | 0 | 0.022 |
Aug. 18, 20218/18/21 | Aug. 30, 20218/30/21 | Aug. 30, 20218/30/21 | Sep. 08, 20219/8/21 | 0 | 0.019 |
Jul. 19, 20217/19/21 | Jul. 29, 20217/29/21 | Jul. 29, 20217/29/21 | Aug. 09, 20218/9/21 | 0 | 0.016 |
Jun. 18, 20216/18/21 | Jun. 29, 20216/29/21 | Jun. 29, 20216/29/21 | Jul. 08, 20217/8/21 | 0 | 0.023 |
May. 18, 20215/18/21 | May. 28, 20215/28/21 | May. 28, 20215/28/21 | Jun. 07, 20216/7/21 | 0 | 0.021 |
Apr. 19, 20214/19/21 | Apr. 29, 20214/29/21 | Apr. 29, 20214/29/21 | May. 07, 20215/7/21 | 0 | 0.022 |
Mar. 18, 20213/18/21 | Mar. 30, 20213/30/21 | Mar. 30, 20213/30/21 | Apr. 08, 20214/8/21 | 0 | 0.024 |
Feb. 16, 20212/16/21 | Feb. 25, 20212/25/21 | Feb. 25, 20212/25/21 | Mar. 05, 20213/5/21 | 0 | 0.019 |
Jan. 18, 20211/18/21 | Jan. 28, 20211/28/21 | Jan. 28, 20211/28/21 | Feb. 05, 20212/5/21 | 0 | 0.019 |
Dec. 16, 202012/16/20 | Dec. 31, 202012/31/20 | Dec. 31, 202012/31/20 | Jan. 08, 20211/8/21 | 0 | 0.029 |
Unit/Purpose US Cash FundPSUCF 2021 Total: | 0.260 | ||||
Unit/Purpose US Cash FundPSUCF 2020 Dividends | |||||
Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
Nov. 17, 202011/17/20 | Nov. 30, 202011/30/20 | Nov. 30, 202011/30/20 | Dec. 07, 202012/7/20 | 0 | 0.029 |
Oct. 19, 202010/19/20 | Oct. 29, 202010/29/20 | Oct. 29, 202010/29/20 | Nov. 06, 202011/6/20 | 0 | 0.025 |
Sep. 17, 20209/17/20 | Sep. 29, 20209/29/20 | Sep. 29, 20209/29/20 | Oct. 07, 202010/7/20 | 0 | 0.022 |
Aug. 18, 20208/18/20 | Aug. 28, 20208/28/20 | Aug. 28, 20208/28/20 | Sep. 08, 20209/8/20 | 0 | 0.019 |
Jul. 20, 20207/20/20 | Jul. 30, 20207/30/20 | Jul. 30, 20207/30/20 | Aug. 10, 20208/10/20 | 0 | 0.018 |
Jun. 17, 20206/17/20 | Jun. 29, 20206/29/20 | Jun. 29, 20206/29/20 | Jul. 08, 20207/8/20 | 0 | 0.020 |
May. 19, 20205/19/20 | May. 28, 20205/28/20 | May. 28, 20205/28/20 | Jun. 05, 20206/5/20 | 0 | 0.018 |
Apr. 20, 20204/20/20 | Apr. 29, 20204/29/20 | Apr. 29, 20204/29/20 | May. 07, 20205/7/20 | 0 | 0.019 |
Mar. 19, 20203/19/20 | Mar. 30, 20203/30/20 | Mar. 30, 20203/30/20 | Apr. 07, 20204/7/20 | 0 | 0.072 |
Feb. 18, 20202/18/20 | Feb. 27, 20202/27/20 | Feb. 27, 20202/27/20 | Mar. 06, 20203/6/20 | 0 | 0.132 |
Jan. 17, 20201/17/20 | Jan. 30, 20201/30/20 | Jan. 30, 20201/30/20 | Feb. 07, 20202/7/20 | 0 | 0.145 |
Dec. 17, 201912/17/19 | Dec. 31, 201912/31/19 | Dec. 31, 201912/31/19 | Jan. 08, 20201/8/20 | 0 | 0.147 |
Unit/Purpose US Cash FundPSUCF 2020 Total: | 0.664 | ||||
Unit/Purpose US Cash FundPSUCF 2019 Dividends | |||||
Decl Date | Ex Date | Rec Date | Pay Date | Type | AmountAmt $ |
Nov. 18, 201911/18/19 | Nov. 27, 201911/27/19 | Nov. 27, 201911/27/19 | Dec. 06, 201912/6/19 | 0 | 0.136 |
Oct. 18, 201910/18/19 | Oct. 30, 201910/30/19 | Oct. 30, 201910/30/19 | Nov. 07, 201911/7/19 | 0 | 0.178 |
Sep. 17, 20199/17/19 | Sep. 27, 20199/27/19 | Sep. 27, 20199/27/19 | Oct. 07, 201910/7/19 | 0 | 0.168 |
Aug. 16, 20198/16/19 | Aug. 29, 20198/29/19 | Aug. 29, 20198/29/19 | Sep. 09, 20199/9/19 | 0 | 0.193 |
Jul. 17, 20197/17/19 | Jul. 30, 20197/30/19 | Jul. 30, 20197/30/19 | Aug. 08, 20198/8/19 | 0 | 0.219 |
Jun. 17, 20196/17/19 | Jun. 27, 20196/27/19 | Jun. 27, 20196/27/19 | Jul. 08, 20197/8/19 | 0 | 0.191 |
May. 17, 20195/17/19 | May. 30, 20195/30/19 | May. 30, 20195/30/19 | Jun. 07, 20196/7/19 | 0 | 0.210 |
Apr. 15, 20194/15/19 | Apr. 29, 20194/29/19 | Apr. 29, 20194/29/19 | May. 07, 20195/7/19 | 0 | 0.219 |
Mar. 19, 20193/19/19 | Mar. 28, 20193/28/19 | Mar. 28, 20193/28/19 | Apr. 05, 20194/5/19 | 0 | 0.197 |
Feb. 14, 20192/14/19 | Feb. 27, 20192/27/19 | Feb. 27, 20192/27/19 | Mar. 07, 20193/7/19 | 0 | 0.190 |
Jan. 18, 20191/18/19 | Jan. 30, 20191/30/19 | Jan. 30, 20191/30/19 | Feb. 07, 20192/7/19 | 0 | 0.210 |
Dec. 14, 201812/14/18 | Dec. 31, 201812/31/18 | Dec. 31, 201812/31/18 | Jan. 08, 20191/8/19 | 0 | 0.209 |
Unit/Purpose US Cash FundPSUCF 2019 Total: | 2.321 |
Nov. 28, 2024DIVIDEND RATE DECREASE: Unit/Purpose US Cash Fund (OTCBB: PSUCF) on 11-28-2024 decreased dividend rate > 3% from $5.22 to $5.03
Read more...Sep. 18, 2024DIVIDEND ANNOUNCEMENT: Unit/Purpose US Cash Fund (OTCBB: PSUCF) on 09-18-2024 declared a dividend of $0.4155 per share
Read more...Feb. 01, 2024PSUCF STOCK PRICE 52 WEEK LOW: Unit/Purpose US Cash Fund on 02-01-2024 hit a 52 week low of $99.99
Read more...Dec. 14, 2024DIVIDEND RATE DECREASE: Sustainable Infrastructure ETF/JPMorgan Exchange-Traded Fund Trust (NASDAQ: BLLD) on 12-14-2024 decreased dividend rate > 3% from $0.80 to $0.00
Read more...Dec. 14, 2024DIVIDEND RATE DECREASE: Inspire Fidelis Muulti Factor ESG ETF/Northern Lights Fund Trust IV (NYSE: FDLS) on 12-14-2024 decreased dividend rate > 3% from $0.35 to $0.24
Read more...Dec. 14, 2024DIVIDEND RATE DECREASE: FMC Excelsior Focus Equity ETF/Northern Lights Fund Trust IV (NYSE: FMCX) on 12-14-2024 decreased dividend rate > 3% from $0.11 to $0.08
Read more...