logo

SELF

Global Self Storage·NASDAQ
--
--(--)
--
--(--)

SELF fundamentals

Global Self Storage (SELF) Dividend Overview: Payouts, Yield & History
Global Self Storage (SELF) last paid a dividend of 0.07 USD per share, with the ex-dividend date on Mar 31,2026. As of today, the trailing twelve-month (TTM) dividend yield is 5.62%, and the payout ratio stands at 161.06%. Explore Global Self Storage's dividend history, payout trends, and yield performance.
Mar 16,2026
Mar 31,2026
$0.07
5.62%
161.06%

Dividend

Payout Ratio
Dividend Yield

Dividend Payout History

Declaration Date
Ex-Div Date
Record data
Pay date
Amount
Mar 02,2026Mar 16,2026Mar 16,2026Mar 31,2026Cash dividend: $0.072
Dec 01,2025Dec 15,2025Dec 15,2025Dec 30,2025Cash dividend: $0.072
Sep 02,2025Sep 16,2025Sep 16,2025Sep 30,2025Cash dividend: $0.072
Jun 02,2025Jun 16,2025Jun 16,2025Jun 30,2025Cash dividend: $0.072
Mar 03,2025Mar 17,2025Mar 17,2025Mar 31,2025Cash dividend: $0.072
Dec 02,2024Dec 16,2024Dec 16,2024Dec 30,2024Cash dividend: $0.072
Sep 03,2024Sep 17,2024Sep 17,2024Sep 30,2024Cash dividend: $0.072
Jun 03,2024Jun 17,2024Jun 17,2024Jun 28,2024Cash dividend: $0.072
Mar 01,2024Mar 14,2024Mar 15,2024Mar 28,2024Cash dividend: $0.072
Dec 01,2023Dec 14,2023Dec 15,2023Dec 28,2023Cash dividend: $0.072
Sep 01,2023Sep 15,2023Sep 18,2023Sep 29,2023Cash dividend: $0.072
Jun 01,2023Jun 14,2023Jun 15,2023Jun 30,2023Cash dividend: $0.072
Mar 01,2023Mar 14,2023Mar 15,2023Mar 31,2023Cash dividend: $0.072
Dec 01,2022Dec 14,2022Dec 15,2022Dec 29,2022Cash dividend: $0.072
Aug 02,2022Sep 15,2022Sep 16,2022Sep 30,2022Cash dividend: $0.072
Jun 01,2022Jun 14,2022Jun 15,2022Jun 30,2022Cash dividend: $0.065
Mar 01,2022Mar 14,2022Mar 15,2022Mar 31,2022Cash dividend: $0.065
Dec 01,2021Dec 14,2021Dec 15,2021Dec 30,2021Cash dividend: $0.065
Sep 01,2021Sep 14,2021Sep 15,2021Sep 30,2021Cash dividend: $0.065
Jun 01,2021Jun 14,2021Jun 15,2021Jun 30,2021Cash dividend: $0.065
Mar 01,2021Mar 12,2021Mar 15,2021Mar 31,2021Cash dividend: $0.065
Dec 01,2020Dec 14,2020Dec 15,2020Dec 30,2020Cash dividend: $0.065
Sep 01,2020Sep 14,2020Sep 15,2020Sep 30,2020Cash dividend: $0.065
Jun 01,2020Jun 12,2020Jun 15,2020Jun 30,2020Cash dividend: $0.065
Mar 02,2020Mar 13,2020Mar 16,2020Mar 31,2020Cash dividend: $0.065
Dec 02,2019Dec 18,2019Dec 19,2019Dec 31,2019Cash dividend: $0.065
Sep 03,2019Sep 16,2019Sep 17,2019Sep 30,2019Cash dividend: $0.065
Jun 03,2019Jun 14,2019Jun 17,2019Jun 28,2019Cash dividend: $0.065
Mar 01,2019Mar 14,2019Mar 15,2019Mar 29,2019Cash dividend: $0.065
Dec 03,2018Dec 14,2018Dec 17,2018Dec 28,2018Cash dividend: $0.065
Sep 04,2018Sep 17,2018Sep 18,2018Sep 28,2018Cash dividend: $0.065
Jun 01,2018Jun 14,2018Jun 15,2018Jun 29,2018Cash dividend: $0.065
Mar 01,2018Mar 14,2018Mar 15,2018Mar 29,2018Cash dividend: $0.065
Dec 01,2017Dec 14,2017Dec 15,2017Dec 28,2017Cash dividend: $0.065
Sep 01,2017Sep 15,2017Sep 18,2017Sep 29,2017Cash dividend: $0.065
Jun 01,2017Jun 13,2017Jun 15,2017Jun 30,2017Cash dividend: $0.065
Mar 01,2017Mar 13,2017Mar 15,2017Mar 31,2017Cash dividend: $0.065
Dec 01,2016Dec 13,2016Dec 15,2016Dec 29,2016Cash dividend: $0.065
Sep 02,2016Sep 14,2016Sep 16,2016Sep 30,2016Cash dividend: $0.065
Jun 02,2016Jun 15,2016Jun 17,2016Jun 30,2016Cash dividend: $0.065
Mar 01,2016Mar 11,2016Mar 15,2016Mar 31,2016Cash dividend: $0.065
Dec 01,2015Dec 11,2015Dec 15,2015Dec 30,2015Cash dividend: $0.065
Sep 01,2015Sep 14,2015Sep 16,2015Sep 30,2015Cash dividend: $0.065
Jun 01,2015Jun 11,2015Jun 15,2015Jun 30,2015Cash dividend: $0.065
Mar 02,2015Mar 12,2015Mar 16,2015Mar 31,2015Cash dividend: $0.065
Dec 01,2014Dec 11,2014Dec 15,2014Dec 30,2014Cash dividend: $0.065
Sep 02,2014Sep 12,2014Sep 16,2014Sep 30,2014Cash dividend: $0.065
Jun 02,2014Jun 12,2014Jun 16,2014Jun 30,2014Cash dividend: $0.065
Feb 21,2014Mar 13,2014Mar 17,2014Mar 31,2014Cash dividend: $0.065
Nov 22,2013Dec 12,2013Dec 16,2013Dec 30,2013Cash dividend: $0.152
Aug 24,2013Sep 13,2013Sep 17,2013Sep 30,2013Cash dividend: $0.065
May 24,2013Jun 13,2013Jun 17,2013Jun 28,2013Cash dividend: $0.065
Feb 21,2013Mar 13,2013Mar 15,2013Mar 28,2013Cash dividend: $0.065
Dec 04,2012Dec 24,2012Dec 27,2012Dec 31,2012Cash dividend: $0.210
Nov 22,2012Dec 12,2012Dec 14,2012Dec 28,2012Cash dividend: $0.065
Aug 24,2012Sep 13,2012Sep 17,2012Sep 28,2012Cash dividend: $0.065
May 24,2012Jun 13,2012Jun 15,2012Jun 29,2012Cash dividend: $0.065
Feb 22,2012Mar 13,2012Mar 15,2012Mar 30,2012Cash dividend: $0.065
Nov 23,2011Dec 13,2011Dec 15,2011Dec 29,2011Cash dividend: $0.065
Aug 24,2011Sep 13,2011Sep 15,2011Sep 30,2011Cash dividend: $0.065
May 24,2011Jun 13,2011Jun 15,2011Jun 30,2011Cash dividend: $0.065
Feb 19,2011Mar 11,2011Mar 15,2011Mar 31,2011Cash dividend: $0.065
Nov 23,2010Dec 13,2010Dec 15,2010Dec 31,2010Cash dividend: $0.055
Aug 24,2010Sep 13,2010Sep 15,2010Sep 30,2010Cash dividend: $0.055
May 22,2010Jun 11,2010Jun 15,2010Jun 30,2010Cash dividend: $0.055
Feb 19,2010Mar 11,2010Mar 15,2010Mar 31,2010Cash dividend: $0.055