Capture passive income with precision. Use our Dividends Calendar to find upcoming ex-dividend dates, payment schedules, and optimize income-focused strategies.

PFSI
PFSI
$6.57 B Market Cap
Yield
0.94% (Quarterly)
3.78% (Annual)
Adj. Dividend$0.3000
Dividend$0.3000
Declaration Date2025-10-21
Ex-Dividend Date2025-11-14
Record Date2025-11-17
Payment Date2025-11-26
PFSI
PFSI
$6.57 B Market Cap
Yield
1.11% (Quarterly)
4.43% (Annual)
Adj. Dividend$0.3000
Dividend$0.3000
Declaration Date2025-07-21
Ex-Dividend Date2025-08-12
Record Date2025-08-13
Payment Date2025-08-22
PFSI
PFSI
$6.57 B Market Cap
Yield
1.21% (Quarterly)
4.86% (Annual)
Adj. Dividend$0.3000
Dividend$0.3000
Declaration Date2025-04-22
Ex-Dividend Date2025-05-13
Record Date2025-05-14
Payment Date2025-05-23
PFSI
PFSI
$6.57 B Market Cap
Yield
1.09% (Quarterly)
4.36% (Annual)
Adj. Dividend$0.3000
Dividend$0.3000
Declaration Date2025-01-30
Ex-Dividend Date2025-02-12
Record Date2025-02-13
Payment Date2025-02-23
PFSI
PFSI
$6.57 B Market Cap
Yield
0.98% (Quarterly)
3.90% (Annual)
Adj. Dividend$0.3000
Dividend$0.3000
Declaration Date2024-10-22
Ex-Dividend Date2024-11-15
Record Date2024-11-18
Payment Date2024-11-27
PFSI
PFSI
$6.57 B Market Cap
Yield
0.92% (Quarterly)
3.68% (Annual)
Adj. Dividend$0.3000
Dividend$0.3000
Declaration Date2024-07-23
Ex-Dividend Date2024-08-12
Record Date2024-08-13
Payment Date2024-08-23
PFSI
PFSI
$6.57 B Market Cap
Yield
0.88% (Quarterly)
3.54% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2024-04-24
Ex-Dividend Date2024-05-13
Record Date2024-05-14
Payment Date2024-05-24
PFSI
PFSI
$6.57 B Market Cap
Yield
0.87% (Quarterly)
3.47% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2024-02-01
Ex-Dividend Date2024-02-12
Record Date2024-02-13
Payment Date2024-02-23
PFSI
PFSI
$6.57 B Market Cap
Yield
1.11% (Quarterly)
4.45% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2023-10-26
Ex-Dividend Date2023-11-10
Record Date2023-11-13
Payment Date2023-11-22
PFSI
PFSI
$6.57 B Market Cap
Yield
1.09% (Quarterly)
4.37% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2023-07-27
Ex-Dividend Date2023-08-14
Record Date2023-08-15
Payment Date2023-08-25
PFSI
PFSI
$6.57 B Market Cap
Yield
1.31% (Quarterly)
5.26% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2023-04-27
Ex-Dividend Date2023-05-15
Record Date2023-05-16
Payment Date2023-05-26
PFSI
PFSI
$6.57 B Market Cap
Yield
1.21% (Quarterly)
4.84% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2023-02-02
Ex-Dividend Date2023-02-13
Record Date2023-02-14
Payment Date2023-02-24
PFSI
PFSI
$6.57 B Market Cap
Yield
1.42% (Quarterly)
5.69% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2022-10-27
Ex-Dividend Date2022-11-11
Record Date2022-11-14
Payment Date2022-11-23
PFSI
PFSI
$6.57 B Market Cap
Yield
1.35% (Quarterly)
5.41% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2022-08-02
Ex-Dividend Date2022-08-15
Record Date2022-08-16
Payment Date2022-08-26
PFSI
PFSI
$6.57 B Market Cap
Yield
1.76% (Quarterly)
7.03% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2022-05-05
Ex-Dividend Date2022-05-16
Record Date2022-05-17
Payment Date2022-05-27
PFSI
PFSI
$6.57 B Market Cap
Yield
1.32% (Quarterly)
5.28% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2022-02-03
Ex-Dividend Date2022-02-14
Record Date2022-02-15
Payment Date2022-02-25
PFSI
PFSI
$6.57 B Market Cap
Yield
1.23% (Quarterly)
4.91% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2021-11-04
Ex-Dividend Date2021-11-12
Record Date2021-11-15
Payment Date2021-11-24
PFSI
PFSI
$6.57 B Market Cap
Yield
1.12% (Quarterly)
4.46% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2021-08-05
Ex-Dividend Date2021-08-13
Record Date2021-08-16
Payment Date2021-08-26
PFSI
PFSI
$6.57 B Market Cap
Yield
1.16% (Quarterly)
4.65% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2021-05-06
Ex-Dividend Date2021-05-14
Record Date2021-05-17
Payment Date2021-05-27
PFSI
PFSI
$6.57 B Market Cap
Yield
0.96% (Quarterly)
3.85% (Annual)
Adj. Dividend$0.2000
Dividend$0.2000
Declaration Date2021-02-04
Ex-Dividend Date2021-02-11
Record Date2021-02-12
Payment Date2021-02-25
PFSI
PFSI
$6.57 B Market Cap
Yield
0.96% (Quarterly)
3.86% (Annual)
Adj. Dividend$0.1500
Dividend$0.1500
Declaration Date2020-11-05
Ex-Dividend Date2020-11-13
Record Date2020-11-16
Payment Date2020-11-25
PFSI
PFSI
$6.57 B Market Cap
Yield
1.03% (Quarterly)
4.12% (Annual)
Adj. Dividend$0.1500
Dividend$0.1500
Declaration Date2020-08-06
Ex-Dividend Date2020-08-14
Record Date2020-08-17
Payment Date2020-08-28
PFSI
PFSI
$6.57 B Market Cap
Yield
1.25% (Quarterly)
4.99% (Annual)
Adj. Dividend$0.1200
Dividend$0.1200
Declaration Date2020-05-07
Ex-Dividend Date2020-05-15
Record Date2020-05-18
Payment Date2020-05-28
PFSI
PFSI
$6.57 B Market Cap
Yield
0.68% (Quarterly)
2.71% (Annual)
Adj. Dividend$0.1200
Dividend$0.1200
Declaration Date2020-02-06
Ex-Dividend Date2020-02-13
Record Date2020-02-14
Payment Date2020-02-27
PFSI
PFSI
$6.57 B Market Cap
Yield
0.38% (Quarterly)
1.51% (Annual)
Adj. Dividend$0.1200
Dividend$0.1200
Declaration Date2019-10-31
Ex-Dividend Date2019-11-14
Record Date2019-11-15
Payment Date2019-11-29
PFSI
PFSI
$6.57 B Market Cap
Yield
1.88% (Quarterly)
1.88% (Annual)
Adj. Dividend$0.4000
Dividend$0.4000
Declaration Date2018-08-02
Ex-Dividend Date2018-08-10
Record Date2018-08-13
Payment Date2018-08-30