Columbia Seligman Premium Technology Growth Fund Inc 股利資訊
Columbia Seligman Premium Technology Growth Fund Inc 每股年股息為 1.85,收益率為 0.00%。股息每 每季度 支付,最後除權日為 Feb 17, 2026。
股息收益率
年度股息
除息日
0.00%
$1.85
Feb 17, 2026
付款頻率
派息比例
每季度
0.00%
股利歷史
除息日
現金金額
記錄日期
付款日
Feb 17, 2026
$0.4625
Feb 17, 2026
Feb 24, 2026
Nov 17, 2025
$1.328
Nov 17, 2025
Dec 9, 2025
Aug 18, 2025
$0.4625
Aug 18, 2025
Aug 26, 2025
May 19, 2025
$0.4625
May 19, 2025
May 27, 2025
Feb 18, 2025
$0.4625
Feb 18, 2025
Feb 25, 2025
Dec 16, 2024
$3.2669
Dec 16, 2024
Jan 21, 2025
股利圖表
STK 股利
STK 股息增長(年增率)
Follow-Up Questions
Columbia Seligman Premium Technology Growth Fund Inc 當前的股息支付和年度股息是多少?
Columbia Seligman Premium Technology Growth Fund Inc 當前支付的股息為 $0.4625。Columbia Seligman Premium Technology Growth Fund Inc 的年度股息為 $1.85
Columbia Seligman Premium Technology Growth Fund Inc 的股息支付比率是多少?
Columbia Seligman Premium Technology Growth Fund Inc 的股息支付比率為 0.00%
STK 的除息日是什麼?
Columbia Seligman Premium Technology Growth Fund Inc 的除息日是 Feb 17, 2026。
Columbia Seligman Premium Technology Growth Fund Inc 多久支付一次股息?
每季。Columbia Seligman Premium Technology Growth Fund Inc 上次支付股息是在 Feb 24, 2026
關鍵數據
前收市價
$38.99
開盤價
$38.32
當日範圍
$37.9 - $39.42
52週區間
$23.05 - $41.46
交易量
32.2K
平均成交量
49.7K
股息收益率
--
每股盈餘 (TTM)
--
市值
$678.2M
什麼是 STK?
Columbia Seligman Premium Technology Growth Fund Inc is a US-based company operating in industry. The company is headquartered in Boston, Massachusetts. The company went IPO on 2009-11-25. Columbia Seligman Premium Technology Growth Fund, Inc. (the Fund) is a closed-end management investment company. Its investment objective is to seek growth of capital and current income. Its investment program consists primarily of investing in a portfolio of equity securities of technology and technology-related companies and writing call options on the National Association of Securities Dealers Automated Quotations (NASDAQ) 100 Index or its exchange-traded fund equivalent (the NASDAQ 100) on a month-to-month basis. The Fund may also buy or write other call and put options on securities, indices, exchange-traded funds (ETFs) and market baskets of securities. The Fund may hold foreign securities of issuers located or doing substantial business in emerging markets. The company invests in various sectors, such as communication services, biotechnology, industrials, financials and information technology. Columbia Management Investment Advisers, LLC is the investment manager of the Fund.