What is the next date for $ULTY
7/25/2025 09:47am
The next date for $ULTY (YieldMax Ultra Option Income Strategy ETF) is **September 19, 2024**, which is the ex-dividend date for the upcoming dividend distribution.
ULTY Ex-Dividend Date
|code|etf code|etf name|Last Price|Last Change|Ex-Dividend Date|Dividend Distribution Plan|Dividend Progress|Dividend Type|Dividend Announcement Date|Dividend Record Date|Dividend Payable Date|market_code|
|---|---|---|---|---|---|---|---|---|---|---|---|---|
|ULTY|ULTY.P|YieldMax Ultra Option Income Strategy ETF|6.26|0.211308|20240919|0.98 USD per Share|Implemented|Regular Cash Dividend|20240918|20240919|20240920|169|
|ULTY|ULTY.P|YieldMax Ultra Option Income Strategy ETF|6.26|0.211308|20240815|0.78 USD per Share|Implemented|Regular Cash Dividend|20240813|20240815|20240816|169|
|ULTY|ULTY.P|YieldMax Ultra Option Income Strategy ETF|6.26|0.211308|20241017|0.83 USD per Share|Implemented|Regular Cash Dividend|20241016|20241017|20241018|169|
|ULTY|ULTY.P|YieldMax Ultra Option Income Strategy ETF|6.26|0.211308|20241114|0.83 USD per Share|Implemented|Regular Cash Dividend|20241113|20241114|20241115|169|
|ULTY|ULTY.P|YieldMax Ultra Option Income Strategy ETF|6.26|0.211308|20241212|0.71 USD per Share|Implemented|Regular Cash Dividend|20241211|20241212|20241213|169|
|ULTY|ULTY.P|YieldMax Ultra Option Income Strategy ETF|6.26|0.211308|20250108|0.57 USD per Share|Implemented|Regular Cash Dividend|20250107|20250108|20250110|169|
|ULTY|ULTY.P|YieldMax Ultra Option Income Strategy ETF|6.26|0.211308|20250206|0.54 USD per Share|Implemented|Regular Cash Dividend|20250205|20250206|20250207|169|
|ULTY|ULTY.P|YieldMax Ultra Option Income Strategy ETF|6.26|0.211308|20250306|0.47 USD per Share|Implemented|Regular Cash Dividend|20250305|20250306|20250307|169|
|ULTY|ULTY.P|YieldMax Ultra Option Income Strategy ETF|6.26|0.211308|20250313|0.1 USD per Share|Implemented|Regular Cash Dividend|20250312|20250313|20250314|169|
|ULTY|ULTY.P|YieldMax Ultra Option Income Strategy ETF|6.26|0.211308|20250320|0.1 USD per Share|Implemented|Regular Cash Dividend|20250319|20250320|20250321|169|