logo

PFLT

PennantPark Floating·NYSE
--
--(--)
--
--(--)

PFLT fundamentals

PennantPark Floating (PFLT) Dividend Overview: Payouts, Yield & History
PennantPark Floating (PFLT) last paid a dividend of 0.10 USD per share, with the ex-dividend date on Apr 01,2026. As of today, the trailing twelve-month (TTM) dividend yield is 15.32%, and the payout ratio stands at 168.61%. Explore PennantPark Floating's dividend history, payout trends, and yield performance.
Mar 16,2026
Apr 01,2026
$0.10
15.32%
168.61%

Dividend

Payout Ratio
Dividend Yield

Dividend Payout History

Declaration Date
Ex-Div Date
Record data
Pay date
Amount
Mar 03,2026Mar 16,2026Mar 16,2026Apr 01,2026Cash dividend: $0.102
Feb 03,2026Feb 17,2026Feb 17,2026Mar 02,2026Cash dividend: $0.102
Jan 05,2026Jan 16,2026Jan 16,2026Feb 02,2026Cash dividend: $0.102
Dec 02,2025Dec 15,2025Dec 15,2025Jan 02,2026Cash dividend: $0.102
Nov 04,2025Nov 17,2025Nov 17,2025Dec 01,2025Cash dividend: $0.102
Oct 02,2025Oct 15,2025Oct 15,2025Nov 03,2025Cash dividend: $0.102
Sep 03,2025Sep 15,2025Sep 15,2025Oct 01,2025Cash dividend: $0.102
Aug 04,2025Aug 15,2025Aug 15,2025Sep 02,2025Cash dividend: $0.102
Jul 02,2025Jul 15,2025Jul 15,2025Aug 01,2025Cash dividend: $0.102
Jun 03,2025Jun 16,2025Jun 16,2025Jul 01,2025Cash dividend: $0.102
May 02,2025May 15,2025May 15,2025Jun 02,2025Cash dividend: $0.102
Apr 02,2025Apr 15,2025Apr 15,2025May 01,2025Cash dividend: $0.102
Mar 04,2025Mar 14,2025Mar 14,2025Apr 01,2025Cash dividend: $0.102
Feb 05,2025Feb 18,2025Feb 18,2025Mar 03,2025Cash dividend: $0.102
Jan 03,2025Jan 15,2025Jan 15,2025Feb 03,2025Cash dividend: $0.102
Dec 03,2024Dec 16,2024Dec 16,2024Jan 02,2025Cash dividend: $0.102
Nov 04,2024Nov 15,2024Nov 15,2024Dec 02,2024Cash dividend: $0.102
Oct 02,2024Oct 16,2024Oct 16,2024Nov 01,2024Cash dividend: $0.102
Sep 04,2024Sep 16,2024Sep 16,2024Oct 01,2024Cash dividend: $0.102
Aug 02,2024Aug 16,2024Aug 16,2024Sep 03,2024Cash dividend: $0.102
Jul 02,2024Jul 15,2024Jul 15,2024Aug 01,2024Cash dividend: $0.102
Jun 04,2024Jun 14,2024Jun 14,2024Jul 01,2024Cash dividend: $0.102
May 02,2024May 14,2024May 15,2024Jun 03,2024Cash dividend: $0.102
Apr 02,2024Apr 12,2024Apr 15,2024May 01,2024Cash dividend: $0.102
Mar 04,2024Mar 15,2024Mar 18,2024Apr 01,2024Cash dividend: $0.102
Feb 02,2024Feb 14,2024Feb 15,2024Mar 01,2024Cash dividend: $0.102
Jan 03,2024Jan 12,2024Jan 16,2024Feb 01,2024Cash dividend: $0.102
Dec 04,2023Dec 15,2023Dec 18,2023Jan 02,2024Cash dividend: $0.102
Nov 02,2023Nov 15,2023Nov 16,2023Dec 01,2023Cash dividend: $0.102
Oct 03,2023Oct 16,2023Oct 17,2023Nov 01,2023Cash dividend: $0.102
Sep 05,2023Sep 15,2023Sep 18,2023Oct 02,2023Cash dividend: $0.102
Aug 02,2023Aug 15,2023Aug 16,2023Sep 01,2023Cash dividend: $0.102
Jul 05,2023Jul 14,2023Jul 17,2023Aug 01,2023Cash dividend: $0.102
May 10,2023Jun 14,2023Jun 15,2023Jul 03,2023Cash dividend: $0.102
May 02,2023May 15,2023May 16,2023Jun 01,2023Cash dividend: $0.100
Apr 04,2023Apr 17,2023Apr 18,2023May 01,2023Cash dividend: $0.100
Feb 08,2023Mar 15,2023Mar 16,2023Apr 03,2023Cash dividend: $0.100
Feb 02,2023Feb 15,2023Feb 16,2023Mar 01,2023Cash dividend: $0.095
Jan 04,2023Jan 18,2023Jan 19,2023Feb 01,2023Cash dividend: $0.095
Dec 02,2022Dec 16,2022Dec 19,2022Jan 03,2023Cash dividend: $0.095
Nov 02,2022Nov 16,2022Nov 17,2022Dec 01,2022Cash dividend: $0.095
Oct 04,2022Oct 17,2022Oct 18,2022Nov 01,2022Cash dividend: $0.095
Sep 02,2022Sep 16,2022Sep 19,2022Oct 03,2022Cash dividend: $0.095
Aug 02,2022Aug 17,2022Aug 18,2022Sep 01,2022Cash dividend: $0.095
Jul 05,2022Jul 15,2022Jul 18,2022Aug 01,2022Cash dividend: $0.095
Jun 02,2022Jun 16,2022Jun 17,2022Jul 01,2022Cash dividend: $0.095
May 03,2022May 17,2022May 18,2022Jun 01,2022Cash dividend: $0.095
Apr 04,2022Apr 14,2022Apr 18,2022May 02,2022Cash dividend: $0.095