Global Self StorageDividends
Dividends
Next ex-date
Sep 15, 2026
estimated · in 17 days
Annual dividend
$0.29
per share
Dividend yield
5.28%
Schedule
Quarterly
4 payments a year
Raised for 16 straight years — most recently to $0.072 from $0.065 in Sep 2022. To collect a payout, hold shares through the close before the ex-date.
History
| Ex-date | Record | Paid | Amount | Note |
|---|---|---|---|---|
| 2026 | ||||
| Jun 15 | Jun 15 | Jun 30 | $0.0725 | |
| Mar 16 | Mar 16 | Mar 31 | $0.0725 | |
| 2025 | ||||
| Dec 15 | Dec 15 | Dec 30 | $0.0725 | |
| Sep 16 | Sep 16 | Sep 30 | $0.0725 | |
| Jun 16 | Jun 16 | Jun 30 | $0.0725 | |
| Mar 17 | Mar 17 | Mar 31 | $0.0725 | |
| 2024 | ||||
| Dec 16 | Dec 16 | Dec 30 | $0.0725 | |
| Sep 17 | Sep 17 | Sep 30 | $0.0725 | |
| Jun 17 | Jun 17 | Jun 28 | $0.0725 | |
| Mar 14 | Mar 15 | Mar 28 | $0.0725 | |
| 2023 | ||||
| Dec 14 | Dec 15 | Dec 28 | $0.0725 | |
| Sep 15 | Sep 18 | Sep 29 | $0.0725 | |
| Jun 14 | Jun 15 | Jun 30 | $0.0725 | |
| Mar 14 | Mar 15 | Mar 31 | $0.0725 | |
| 2022 | ||||
| Dec 14 | Dec 15 | Dec 29 | $0.072 | |
| Sep 15 | Sep 16 | Sep 30 | $0.072 | raised from $0.065 |
| Jun 14 | Jun 15 | Jun 30 | $0.065 | |
| Mar 14 | Mar 15 | Mar 31 | $0.065 | |
| 2021 | ||||
| Dec 14 | Dec 15 | Dec 30 | $0.065 | |
| Sep 14 | Sep 15 | Sep 30 | $0.065 | |
20 payments since Sep 2021.
