Structured Products Corp 8.205% - Payout Ratio History

Payout ratio history for stock KTN (Structured Products Corp 8.205%).

DatePayout ratio
May 2024 -208.03%
April 2024 -208.03%
March 2024 -208.03%
February 2024 -208.03%
January 2024 -208.03%
December 2023 -208.03%
November 2023 -208.03%
October 2023 -208.03%
September 2023 -208.03%
August 2023 -208.03%
July 2023 -208.03%
June 2023 -208.11%
May 2023 -208.11%
April 2023 -208.11%
March 2023 -208.11%
February 2023 -208.11%
January 2023 -110.95%
December 2022 -110.95%
November 2022 -110.95%
October 2022 -110.95%
September 2022 -110.95%
August 2022 -110.95%
July 2022 -104.06%
June 2022 -208.11%
May 2022 -208.11%
April 2022 -208.11%
March 2022 -208.11%
February 2022 -208.11%
January 2022 -208.11%
December 2021 -208.11%
October 2021 -208.11%
September 2021 -208.11%
August 2021 -208.11%
July 2021 -209.13%
June 2021 -209.13%
May 2021 -209.13%
April 2021 -209.13%
March 2021 -209.13%
February 2021 -209.13%
January 2021 -208.11%
December 2020 -208.03%
November 2020 -208.03%
October 2020 -208.03%
September 2020 -208.03%
August 2020 -208.03%
July 2020 -208.03%
June 2020 -208.03%
May 2020 -208.03%
April 2020 -208.03%
March 2020 -208.03%
February 2020 -208.03%
January 2020 -208.03%
December 2019 -208.03%
November 2019 -208.03%
October 2019 -208.03%
September 2019 -208.03%
August 2019 -208.03%
July 2019 -208.03%
June 2019 -208.03%
May 2019 -208.03%
April 2019 -208.03%
March 2019 -208.03%
February 2019 -208.03%
December 2018 -208.03%

KTN

Price: $26.98

52 week price:
25.46
28.74

Dividend Yield: 7.33%

5-year range yield:
3.89%
7.58%

Forward Dividend Yield: 7.60%

Payout Ratio: -208.03%

Payout Ratio Range:
-209.13%
-104.06%

Dividend Per Share: 2.05 USD

Earnings Per Share: -0.99 USD

P/E Ratio: 20.80

Exchange: NYQ

Sector: Finance

Industry: Finance: Consumer Services

Volume: 700

Average Dividend Frequency: 2

Years Paying Dividends: 23

DGR3: 2.27%

DGR5: 1.42%

DGR10: 0.71%

DGR20: 0.36%

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