PPLUS Trust Series GSC 2 Pref(PYT) USD 22.6
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.54%USD 0.349USD0.348592023-02-13
20223.36%USD 0.76USD0.191672022-11-10
USD0.189582022-08-11
USD0.18752022-05-12
USD0.19172022-02-11
20213.36%USD 0.758USD0.18962021-11-10
USD0.18962021-08-12
USD0.18752021-05-13
USD0.19172021-02-11
20202.52%USD 0.569USD0.19582020-08-13
USD0.18122020-05-13
USD0.19172020-02-13
20193.72%USD 0.84USD0.19222019-11-13
USD0.20822019-08-13
USD0.218412019-05-13
USD0.221452019-02-13
20183.47%USD 0.783USD0.202132018-11-15
USD0.203972018-08-13
USD0.185422018-05-11
USD0.191672018-02-15
20173.36%USD 0.76USD0.191672017-11-13
USD0.191672017-08-10
USD0.185422017-05-10
USD0.191672017-02-10
20163.36%USD 0.758USD0.189582016-11-09
USD0.189582016-08-10
USD0.18752016-05-12
USD0.191672016-02-10
20153.36%USD 0.758USD0.189582015-11-10
USD0.195832015-08-12
USD0.181252015-05-13
USD0.191672015-02-11
20143.38%USD 0.764USD0.195832014-11-12
USD0.191672014-08-12
USD0.1792014-05-12
USD0.197922014-02-12
20133.39%USD 0.767USD0.191672013-11-12
USD0.191672013-08-12
USD0.191672013-05-10
USD0.191672013-02-12
20123.37%USD 0.763USD0.191672012-11-09
USD0.191672012-08-10
USD0.18752012-05-10
USD0.191672012-02-10
20113.36%USD 0.76USD0.191672011-11-09
USD0.189582011-08-10
USD0.18752011-05-11
USD0.191672011-02-10
20103.33%USD 0.752USD0.189582010-11-09
USD0.189582010-08-11
USD0.18752010-05-17
USD0.185422010-02-10
20093.31%USD 0.748USD0.185422009-11-17
USD0.191672009-08-18
USD0.183332009-05-12
USD0.18752009-02-11
20084.65%USD 1.051USD0.22842008-11-18
USD0.220352008-08-15
USD0.244692008-05-16
USD0.357422008-02-20
20076.93%USD 1.566USD0.400472007-11-16
USD0.388132007-08-17
USD0.388132007-05-18
USD0.388982007-02-20
20066.41%USD 1.45USD0.390742006-11-16
USD0.384612006-08-15
USD0.349922006-05-10
USD0.324382006-02-10
20054.30%USD 0.971USD0.292005-11-09
USD0.254522005-08-10
USD0.23032005-05-11
USD0.196252005-02-10
20041.10%USD 0.248USD0.185422004-11-09
USD0.06252004-08-11