PennantPark InvestmentDividends

PNNT · NYSE · Asset Management

Dividends

Next ex-date
Sep 14, 2026
estimated · in 16 days
Annual dividend
$0.72
per share
Dividend yield
19.46%
Schedule
Monthly
12 payments a year

Raised for 2 straight years — most recently to $0.08 from $0.07 in Jun 2024. To collect a payout, hold shares through the close before the ex-date.

History

Ex-dateRecordPaidAmountNote
2026
Aug 14Aug 14Sep 1$0.08
Jul 15Jul 15Aug 3$0.08
Jun 15Jun 15Jul 1$0.08special dividend
May 15May 15Jun 1$0.08special dividend
Apr 15Apr 15May 1$0.08special dividend
Mar 16Mar 16Apr 1$0.08
Feb 17Feb 17Mar 2$0.08
Jan 16Jan 16Feb 2$0.08
2025
Dec 15Dec 15Jan 2$0.08
Nov 17Nov 17Dec 1$0.08
Oct 15Oct 15Nov 3$0.08
Sep 15Sep 15Sep 30$0.08
Aug 15Aug 15Sep 2$0.08
Jul 15Jul 15Aug 1$0.08
Jun 16Jun 16Jul 1$0.08
May 15May 15Jun 2$0.08
Apr 15Apr 15May 1$0.08
Mar 14Mar 14Apr 1$0.08
Feb 18Feb 18Mar 3$0.08
Jan 15Jan 15Feb 3$0.08
2024
Dec 16Dec 16Jan 2$0.08
Nov 15Nov 15Dec 2$0.08
Oct 16Oct 16Nov 1$0.08
Sep 16Sep 16Oct 1$0.08
Aug 16Aug 16Sep 3$0.08
Jul 15Jul 15Aug 1$0.08
Jun 14Jun 14Jul 1$0.08raised from $0.07
May 14May 15Jun 3$0.07
Apr 12Apr 15May 1$0.07
Mar 15Mar 18Apr 1$0.07
Feb 14Feb 15Mar 1$0.07
Jan 12Jan 16Feb 1$0.07
2023
Dec 15Dec 18Jan 2$0.07
Nov 15Nov 16Dec 1$0.07
Oct 16Oct 17Nov 1$0.07cut from $0.21
Sep 15Sep 18Oct 2$0.21raised from $0.20
Jun 14Jun 15Jul 3$0.20raised from $0.185
Mar 15Mar 16Apr 3$0.185raised from $0.165
2022
Dec 16Dec 19Jan 3$0.165raised from $0.15
Sep 16Sep 19Oct 3$0.15raised from $0.145
Jun 16Jun 17Jul 1$0.145raised from $0.14
Mar 16Mar 17Apr 1$0.14raised from $0.12
2021
Dec 17Dec 20Jan 3$0.12
Sep 16Sep 17Oct 1$0.12

44 payments since Sep 2021.