Marine Products Corporati...

9.20
-0.03 (-0.33%)
At close: Jan 28, 2025, 2:48 PM

Dividends

Marine Products Corporation has an annual dividend of $0.56 per share, with a forward yield of 6.07%. The dividend is paid every 3 months and the last ex-dividend date was Nov 8, 2024.
6.07%
0.56
Nov 8, 2024
Quartely
105.66%
0%

Dividends History

Ex-Divid. Date Cash Amount Record Date Pay Date
Nov 8, 2024 0.140 Nov 11, 2024 Dec 10, 2024
Aug 9, 2024 0.140 Aug 9, 2024 Sep 10, 2024
May 9, 2024 0.840 May 10, 2024 Jun 10, 2024
Feb 8, 2024 0.140 Feb 9, 2024 Mar 11, 2024
Nov 9, 2023 0.140 Nov 10, 2023 Dec 11, 2023
Aug 9, 2023 0.140 Aug 10, 2023 Sep 11, 2023
May 9, 2023 0.140 May 10, 2023 Jun 9, 2023
Feb 9, 2023 0.140 Feb 10, 2023 Mar 10, 2023
Nov 9, 2022 0.140 Nov 10, 2022 Dec 9, 2022
Aug 9, 2022 0.120 Aug 10, 2022 Sep 9, 2022
May 9, 2022 0.120 May 10, 2022 Jun 10, 2022
Feb 9, 2022 0.120 Feb 10, 2022 Mar 10, 2022
Nov 9, 2021 0.120 Nov 10, 2021 Dec 10, 2021
Aug 9, 2021 0.120 Aug 10, 2021 Sep 10, 2021
May 7, 2021 0.120 May 10, 2021 Jun 10, 2021
Feb 9, 2021 0.100 Feb 10, 2021 Mar 10, 2021
Nov 9, 2020 0.120 Nov 10, 2020 Dec 10, 2020
Aug 7, 2020 0.080 Aug 10, 2020 Sep 10, 2020
May 8, 2020 0.080 May 11, 2020 Jun 10, 2020
Feb 7, 2020 0.120 Feb 10, 2020 Mar 10, 2020
Nov 7, 2019 0.220 Nov 11, 2019 Dec 10, 2019
Aug 8, 2019 0.120 Aug 9, 2019 Sep 10, 2019
May 9, 2019 0.120 May 10, 2019 Jun 10, 2019
Feb 8, 2019 0.120 Feb 11, 2019 Mar 11, 2019
Nov 8, 2018 0.200 Nov 9, 2018 Dec 10, 2018
Aug 9, 2018 0.100 Aug 10, 2018 Sep 10, 2018
May 9, 2018 0.100 May 10, 2018 Jun 11, 2018
Feb 8, 2018 0.100 Feb 9, 2018 Mar 9, 2018
Nov 9, 2017 0.120 Nov 10, 2017 Dec 11, 2017
Aug 8, 2017 0.070 Aug 10, 2017 Sep 11, 2017
May 8, 2017 0.070 May 10, 2017 Jun 9, 2017
Feb 8, 2017 0.070 Feb 10, 2017 Mar 10, 2017
Nov 8, 2016 0.060 Nov 10, 2016 Dec 9, 2016
Aug 8, 2016 0.060 Aug 10, 2016 Sep 9, 2016
May 6, 2016 0.060 May 10, 2016 Jun 10, 2016
Feb 8, 2016 0.060 Feb 10, 2016 Mar 10, 2016
Nov 6, 2015 0.080 Nov 10, 2015 Dec 10, 2015
Aug 6, 2015 0.040 Aug 10, 2015 Sep 10, 2015
May 7, 2015 0.040 May 11, 2015 Jun 10, 2015
Feb 6, 2015 0.040 Feb 10, 2015 Mar 10, 2015
Nov 6, 2014 0.070 Nov 10, 2014 Dec 10, 2014
Aug 6, 2014 0.030 Aug 8, 2014 Sep 10, 2014
May 7, 2014 0.030 May 9, 2014 Jun 10, 2014
Feb 6, 2014 0.030 Feb 10, 2014 Mar 10, 2014
Nov 6, 2013 0.060 Nov 8, 2013 Dec 10, 2013
Aug 7, 2013 0.030 Aug 9, 2013 Sep 10, 2013
May 8, 2013 0.030 May 10, 2013 Jun 10, 2013
Feb 6, 2013 0.030 Feb 8, 2013 Mar 8, 2013
Nov 7, 2012 0.570 Nov 9, 2012 Dec 10, 2012
Aug 8, 2012 0.020 Aug 10, 2012 Sep 10, 2012
May 8, 2012 0.020 May 10, 2012 Jun 8, 2012
Feb 8, 2012 0.020 Feb 10, 2012 Mar 9, 2012
Feb 6, 2009 0.010 Feb 10, 2009 Mar 10, 2009
Nov 6, 2008 0.065 Nov 10, 2008 Dec 10, 2008
Aug 6, 2008 0.065 Aug 8, 2008 Sep 10, 2008
May 7, 2008 0.065 May 9, 2008 Jun 10, 2008
Feb 6, 2008 0.065 Feb 8, 2008 Mar 10, 2008
Nov 7, 2007 0.060 Nov 12, 2007 Dec 10, 2007
Aug 8, 2007 0.060 Aug 10, 2007 Sep 10, 2007
May 9, 2007 0.060 May 11, 2007 Jun 11, 2007
Feb 8, 2007 0.060 Feb 12, 2007 Mar 12, 2007
Nov 8, 2006 0.050 Nov 10, 2006 Dec 11, 2006
Aug 9, 2006 0.050 Aug 11, 2006 Sep 11, 2006
May 5, 2006 0.050 May 9, 2006 Jun 9, 2006
Feb 8, 2006 0.050 Feb 10, 2006 Mar 10, 2006
Nov 8, 2005 0.040 Nov 11, 2005 Dec 12, 2005
Aug 10, 2005 0.040 Aug 12, 2005 Sep 12, 2005
May 6, 2005 0.040 May 10, 2005 Jun 10, 2005
Feb 8, 2005 0.040 Feb 10, 2005 Mar 10, 2005
Nov 8, 2004 0.027 Nov 10, 2004 Dec 10, 2004
Aug 6, 2004 0.027 Aug 10, 2004 Sep 10, 2004
May 6, 2004 0.027 May 10, 2004 Jun 10, 2004
Feb 6, 2004 0.027 Feb 10, 2004 Mar 10, 2004
Nov 6, 2003 0.018 Nov 10, 2003 Dec 10, 2003
Aug 7, 2003 0.018 Aug 11, 2003 Sep 10, 2003
May 7, 2003 0.018 May 9, 2003 Jun 10, 2003
Feb 6, 2003 0.018 Feb 10, 2003 Mar 10, 2003
Nov 6, 2002 0.009 Nov 8, 2002 Dec 10, 2002
Aug 7, 2002 0.009 Aug 9, 2002 Sep 10, 2002
May 8, 2002 0.009 May 10, 2002 Jun 10, 2002
Feb 7, 2002 0.009 Feb 11, 2002 Mar 11, 2002
Nov 7, 2001 0.009 Nov 9, 2001 Dec 10, 2001
Aug 8, 2001 0.009 Aug 10, 2001 Sep 10, 2001
May 8, 2001 0.009 May 10, 2001 Jun 11, 2001
* Dividend amounts are adjusted for stock splits when applicable.