$32.29
1.01% day before yesterday
NYSE, Dec 27, 10:10 pm CET
ISIN
US0030211850
Symbol
STK

Columbia Seligman Premium Technology Growth Fund Inc Dividend history 15 years

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Dividend Analysis of the Columbia Seligman Premium Technology Growth Fund Inc Stock

Current dividend yield 7.21 %
Dividendenrendite 5 Jahre 3.77 %
Dividend Yield 10Y 9.77 %
Payout 3Y 8.45 %

When does Columbia Seligman Premium Technology Growth Fund Inc pay a dividend?

The Columbia Seligman Premium Technology Growth Fund Inc stock dividend is paid 4 times a year. In order to receive a dividend, you should generally own the Columbia Seligman Premium Technology Growth Fund Inc stock before the ex-dividend date. The Dividend Calendar shows that the last ex-day dates were February, May, August and November . Dividends from Columbia Seligman Premium Technology Growth Fund Inc are distributed via February, May, August and November.

Year Dividend Ex-day &
Payday
Frequency
Fiscal Year Dividend per Share Ex-Day Payday Payment frequency
2025
$2.9547
$2.95
Dec 16 2024
Dec 16 2024
Jan 21 2025
Dec 16 24
Jan 21 25
Jan 21 2025
quarterly
quarterly
2025
$0.3122
$0.31
Dec 16 2024
Dec 16 2024
Jan 21 2025
Dec 16 24
Jan 21 25
Jan 21 2025
quarterly
quarterly
2025
$0.4625
$0.46
Nov 18 2024
Nov 18 2024
Nov 26 2024
Nov 18 24
Nov 26 24
Nov 26 2024
quarterly
quarterly
2025
$0.4625
$0.46
Aug 19 2024
Aug 19 2024
Aug 27 2024
Aug 19 24
Aug 27 24
Aug 27 2024
quarterly
quarterly
2025
$0.4625
$0.46
May 10 2024
May 10 2024
May 21 2024
May 10 24
May 21 24
May 21 2024
quarterly
quarterly
2025
$0.4625
$0.46
Feb 16 2024
Feb 16 2024
Feb 27 2024
Feb 16 24
Feb 27 24
Feb 27 2024
quarterly
quarterly
2024
$0.2669
$0.27
Dec 15 2023
Dec 15 2023
Jan 23 2024
Dec 15 23
Jan 23 24
Jan 23 2024
Special dividend
Special div.
2024
$0.4586
$0.46
Nov 10 2023
Nov 10 2023
Nov 21 2023
Nov 10 23
Nov 21 23
Nov 21 2023
quarterly
quarterly
2024
$0.4586
$0.46
Aug 11 2023
Aug 11 2023
Aug 22 2023
Aug 11 23
Aug 22 23
Aug 22 2023
quarterly
quarterly
2024
$0.4586
$0.46
May 12 2023
May 12 2023
May 23 2023
May 12 23
May 23 23
May 23 2023
quarterly
quarterly
2024
$0.4586
$0.46
Feb 10 2023
Feb 10 2023
Feb 21 2023
Feb 10 23
Feb 21 23
Feb 21 2023
quarterly
quarterly
2023
$1.0142
$1.01
Dec 09 2022
Dec 09 2022
Jan 17 2023
Dec 09 22
Jan 17 23
Jan 17 2023
-
-
2023
$0.0585
$0.06
Dec 09 2022
Dec 09 2022
Jan 17 2023
Dec 09 22
Jan 17 23
Jan 17 2023
-
-
2023
$0.4586
$0.46
Nov 14 2022
Nov 14 2022
Nov 22 2022
Nov 14 22
Nov 22 22
Nov 22 2022
quarterly
quarterly
2023
$0.4586
$0.46
Aug 12 2022
Aug 12 2022
Aug 23 2022
Aug 12 22
Aug 23 22
Aug 23 2022
quarterly
quarterly
2023
$0.4586
$0.46
May 13 2022
May 13 2022
May 24 2022
May 13 22
May 24 22
May 24 2022
quarterly
quarterly
2023
$0.4586
$0.46
Feb 11 2022
Feb 11 2022
Feb 22 2022
Feb 11 22
Feb 22 22
Feb 22 2022
quarterly
quarterly
2022
$1.276
$1.28
Dec 10 2021
Dec 10 2021
Jan 18 2022
Dec 10 21
Jan 18 22
Jan 18 2022
Special dividend
Special div.
2022
$0.443
$0.44
Nov 12 2021
Nov 12 2021
Nov 23 2021
Nov 12 21
Nov 23 21
Nov 23 2021
quarterly
quarterly
2022
$0.443
$0.44
Aug 13 2021
Aug 13 2021
Aug 24 2021
Aug 13 21
Aug 24 21
Aug 24 2021
quarterly
quarterly
2022
$0.443
$0.44
May 14 2021
May 14 2021
May 25 2021
May 14 21
May 25 21
May 25 2021
quarterly
quarterly
2022
$0.443
$0.44
Feb 12 2021
Feb 12 2021
Feb 23 2021
Feb 12 21
Feb 23 21
Feb 23 2021
quarterly
quarterly
2021
$0.443
$0.44
Nov 13 2020
Nov 13 2020
Nov 24 2020
Nov 13 20
Nov 24 20
Nov 24 2020
quarterly
quarterly
2021
$0.443
$0.44
Aug 14 2020
Aug 14 2020
Aug 25 2020
Aug 14 20
Aug 25 20
Aug 25 2020
quarterly
quarterly
2021
$0.443
$0.44
May 15 2020
May 15 2020
May 26 2020
May 15 20
May 26 20
May 26 2020
quarterly
quarterly
2021
$0.443
$0.44
Feb 14 2020
Feb 14 2020
Feb 25 2020
Feb 14 20
Feb 25 20
Feb 25 2020
quarterly
quarterly
2020
$0.443
$0.44
Nov 15 2019
Nov 15 2019
Nov 26 2019
Nov 15 19
Nov 26 19
Nov 26 2019
quarterly
quarterly
2020
$0.443
$0.44
Aug 09 2019
Aug 09 2019
Aug 20 2019
Aug 09 19
Aug 20 19
Aug 20 2019
-
-
2020
$0.443
$0.44
May 10 2019
May 10 2019
May 21 2019
May 10 19
May 21 19
May 21 2019
quarterly
quarterly
2020
$0.443
$0.44
Feb 15 2019
Feb 15 2019
Feb 26 2019
Feb 15 19
Feb 26 19
Feb 26 2019
quarterly
quarterly
2019
$0.6246
$0.62
Dec 14 2018
Dec 14 2018
Jan 22 2019
Dec 14 18
Jan 22 19
Jan 22 2019
Special dividend
Special div.
2019
$0.428
$0.43
Nov 09 2018
Nov 09 2018
Nov 20 2018
Nov 09 18
Nov 20 18
Nov 20 2018
quarterly
quarterly
2019
$0.428
$0.43
Aug 10 2018
Aug 10 2018
Aug 21 2018
Aug 10 18
Aug 21 18
Aug 21 2018
quarterly
quarterly
2019
$0.428
$0.43
May 11 2018
May 11 2018
May 22 2018
May 11 18
May 22 18
May 22 2018
quarterly
quarterly
2019
$0.428
$0.43
Feb 16 2018
Feb 16 2018
Feb 27 2018
Feb 16 18
Feb 27 18
Feb 27 2018
quarterly
quarterly
2018
$0.7224
$0.72
Dec 15 2017
Dec 15 2017
Jan 23 2018
Dec 15 17
Jan 23 18
Jan 23 2018
Special dividend
Special div.
2018
$0.4137
$0.41
Nov 10 2017
Nov 10 2017
Nov 21 2017
Nov 10 17
Nov 21 17
Nov 21 2017
quarterly
quarterly
2018
$0.4137
$0.41
Aug 10 2017
Aug 10 2017
Aug 22 2017
Aug 10 17
Aug 22 17
Aug 22 2017
quarterly
quarterly
2018
$0.4137
$0.41
May 11 2017
May 11 2017
May 23 2017
May 11 17
May 23 17
May 23 2017
quarterly
quarterly
2018
$0.4137
$0.41
Feb 16 2017
Feb 16 2017
Feb 28 2017
Feb 16 17
Feb 28 17
Feb 28 2017
quarterly
quarterly
2017
$0.4137
$0.41
Nov 09 2016
Nov 09 2016
Nov 22 2016
Nov 09 16
Nov 22 16
Nov 22 2016
quarterly
quarterly
2017
$0.4137
$0.41
Aug 11 2016
Aug 11 2016
Aug 23 2016
Aug 11 16
Aug 23 16
Aug 23 2016
quarterly
quarterly
2017
$0.4137
$0.41
May 12 2016
May 12 2016
May 24 2016
May 12 16
May 24 16
May 24 2016
quarterly
quarterly
2017
$0.4137
$0.41
Feb 11 2016
Feb 11 2016
Feb 23 2016
Feb 11 16
Feb 23 16
Feb 23 2016
quarterly
quarterly
2016
$0.4137
$0.41
Nov 12 2015
Nov 12 2015
Nov 24 2015
Nov 12 15
Nov 24 15
Nov 24 2015
quarterly
quarterly
2016
$0.4137
$0.41
Aug 13 2015
Aug 13 2015
Aug 25 2015
Aug 13 15
Aug 25 15
Aug 25 2015
quarterly
quarterly
2016
$0.389
$0.39
May 14 2015
May 14 2015
May 26 2015
May 14 15
May 26 15
May 26 2015
-
-
2016
$0.0247
$0.02
May 14 2015
May 14 2015
May 26 2015
May 14 15
May 26 15
May 26 2015
-
-
2016
$0.3328
$0.33
Feb 12 2015
Feb 12 2015
Feb 25 2015
Feb 12 15
Feb 25 15
Feb 25 2015
-
-
2016
$0.081
$0.08
Feb 12 2015
Feb 12 2015
Feb 25 2015
Feb 12 15
Feb 25 15
Feb 25 2015
quarterly
quarterly
2015
$0.4137
$0.41
Nov 13 2014
Nov 13 2014
Nov 25 2014
Nov 13 14
Nov 25 14
Nov 25 2014
quarterly
quarterly
2015
$0.3636
$0.36
Aug 14 2014
Aug 14 2014
Aug 26 2014
Aug 14 14
Aug 26 14
Aug 26 2014
-
-
2015
$0.0501
$0.05
Aug 14 2014
Aug 14 2014
Aug 26 2014
Aug 14 14
Aug 26 14
Aug 26 2014
-
-
2015
$0.0528
$0.05
May 15 2014
May 15 2014
May 27 2014
May 15 14
May 27 14
May 27 2014
quarterly
quarterly
2015
$0.3609
$0.36
May 15 2014
May 15 2014
May 27 2014
May 15 14
May 27 14
May 27 2014
-
-
2015
$0.1638
$0.16
Feb 13 2014
Feb 13 2014
Feb 26 2014
Feb 13 14
Feb 26 14
Feb 26 2014
-
-
2015
$0.2499
$0.25
Feb 13 2014
Feb 13 2014
Feb 26 2014
Feb 13 14
Feb 26 14
Feb 26 2014
quarterly
quarterly
2014
$0.096
$0.1
Nov 14 2013
Nov 14 2013
Nov 26 2013
Nov 14 13
Nov 26 13
Nov 26 2013
-
-
2014
$0.3177
$0.32
Nov 14 2013
Nov 14 2013
Nov 26 2013
Nov 14 13
Nov 26 13
Nov 26 2013
quarterly
quarterly
2014
$0.4137
$0.41
Aug 15 2013
Aug 15 2013
Aug 27 2013
Aug 15 13
Aug 27 13
Aug 27 2013
quarterly
quarterly
2014
$0.4137
$0.41
May 16 2013
May 16 2013
May 28 2013
May 16 13
May 28 13
May 28 2013
quarterly
quarterly
2014
$0.4137
$0.41
Feb 14 2013
Feb 14 2013
Feb 27 2013
Feb 14 13
Feb 27 13
Feb 27 2013
quarterly
quarterly
2013
$0.4137
$0.41
Nov 08 2012
Nov 08 2012
Nov 21 2012
Nov 08 12
Nov 21 12
Nov 21 2012
quarterly
quarterly
2013
$0.4137
$0.41
Aug 10 2012
Aug 10 2012
Aug 23 2012
Aug 10 12
Aug 23 12
Aug 23 2012
quarterly
quarterly
2013
$0.4137
$0.41
May 10 2012
May 10 2012
May 24 2012
May 10 12
May 24 12
May 24 2012
quarterly
quarterly
2013
$0.4137
$0.41
Feb 10 2012
Feb 10 2012
Feb 23 2012
Feb 10 12
Feb 23 12
Feb 23 2012
quarterly
quarterly
2012
$0.4137
$0.41
Nov 09 2011
Nov 09 2011
Nov 22 2011
Nov 09 11
Nov 22 11
Nov 22 2011
quarterly
quarterly
2012
$0.4137
$0.41
Aug 12 2011
Aug 12 2011
Aug 25 2011
Aug 12 11
Aug 25 11
Aug 25 2011
quarterly
quarterly
2012
$0.4137
$0.41
May 13 2011
May 13 2011
May 25 2011
May 13 11
May 25 11
May 25 2011
quarterly
quarterly
2012
$0.4137
$0.41
Feb 10 2011
Feb 10 2011
Feb 23 2011
Feb 10 11
Feb 23 11
Feb 23 2011
quarterly
quarterly
2011
$0.4137
$0.41
Nov 12 2010
Nov 12 2010
Nov 23 2010
Nov 12 10
Nov 23 10
Nov 23 2010
quarterly
quarterly
2011
$0.4137
$0.41
Aug 13 2010
Aug 13 2010
Aug 25 2010
Aug 13 10
Aug 25 10
Aug 25 2010
quarterly
quarterly
2011
$0.4137
$0.41
May 13 2010
May 13 2010
May 26 2010
May 13 10
May 26 10
May 26 2010
quarterly
quarterly
2010
$0.4137
$0.41
Jan 14 2010
Jan 14 2010
Jan 27 2010
Jan 14 10
Jan 27 10
Jan 27 2010
-
-
Show more

How much dividend does Columbia Seligman Premium Technology Growth Fund Inc pay?

Columbia Seligman Premium Technology Growth Fund Inc most recently paid a dividend of $2.95. Columbia Seligman Premium Technology Growth Fund Inc paid a Dividend of $1.83 Per Share in the financial year 2024. With a stock price of $32.29 at Dec 27 2024, the current dividend yield is 5.68% (calculation: $1.83 / $32.29 = 5.68%). A Special Dividend was paid in the amount of $0.27 Per Share. Special dividends are not included in the calculation of the dividend yield.

Use the StocksGuide screener to find the stocks with the highest dividend yields. Here you will find, for example, the 100 largest dividend stocks in the world:

What is the Columbia Seligman Premium Technology Growth Fund Inc Dividend Yield and payout ratio?

The average Columbia Seligman Premium Technology Growth Fund Inc dividend yield over the last 5 years is 7.07% and the average over the last 10 years is 7.88%.

The payout ratio of Columbia Seligman Premium Technology Growth Fund Inc in relation to the last financial year is 34.08%. The payout ratio smoothed over 3 years is 82.55%. The calculation is based on the sum of all dividend payments divided by the cumulative earnings per share(EPS).

Metric Columbia Seligman Premium Technology Growth Fund Inc
Current dividend yield 5.68%
Dividend Yield 5Y 7.07%
Dividend Yield 10Y 7.88%
Payout 1Y 34.08%
Payout 3Y 82.55%

Is the Columbia Seligman Premium Technology Growth Fund Inc dividend safe? Continuity & Dividend Growth

Is the Columbia Seligman Premium Technology Growth Fund Inc dividend safe?

Columbia Seligman Premium Technology Growth Fund Inc has been paying a dividend for 15 years and has not lowered the dividend for 0 years (dividend continuity). As a result, the dividend was not increased recently.

The Dividend Growth in relation to the previous financial year amounts to -36.90%. The average Columbia Seligman Premium Technology Growth Fund Inc Dividend Growth over the last 5 years is 1.39%. The average for the last 10 years is 1.04%.

Metric Columbia Seligman Premium Technology Growth Fund Inc
Increased 0 Years
Continuity 0 Years
Paid 15 Years
Growth 1Y -36.90%
Growth 5Y 1.39%
Growth 10Y 1.04%

Continuity

Columbia Seligman Premium Technology Growth Fund Inc has been paying a dividend for 15 years and has not lowered the dividend for 0 years (dividend continuity). As a result, the dividend was not increased recently.

Dividend Growth

The Dividend Growth in relation to the previous financial year amounts to -36.90%. The average Columbia Seligman Premium Technology Growth Fund Inc Dividend Growth over the last 5 years is 1.39%. The average for the last 10 years is 1.04%.

With the Stock Screener, you can search for the best Dividend Aristocrats in indices such as the DAX or NASDAQ.

Columbia Seligman Premium Technology Growth Fund Inc Stock Forecast 2024

On the stock exchange, the Columbia Seligman Premium Technology Growth Fund Inc stock (ISIN: US0030211850) is not traded as a top scorer in December 2024 according to the dividend strategy.

The stock price of Columbia Seligman Premium Technology Growth Fund Inc 2.18% has risen since the beginning of the year 2024. However, the return generated in the past says nothing about the future return. You can find the Columbia Seligman Premium Technology Growth Fund Inc stock price in real time at the top of the page.

Metric Columbia Seligman Premium Technology Growth Fund Inc
Dividend Score ??/15
Performance 2024
2.18%

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