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UCPLF United Corporations Limited — dividend yield, history & ex-dividend dates

Other OTC· Quarterly dividend· Common Stock · Financial Services / Asset Management

$10.70 ▲ $0.00(0.00%) as of Sep 14, 2026 03:06 UTC
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United Corporations Limited operates as a closed-end equity fund, initially established and managed by Jarislowsky, Fraser Limited. ValueInvest Asset Management S.A. also provides co-management for the fund. Its primary investment focus is the public equity markets of Canada, though it also diversifies its holdings through investments in units of the Emerging Markets Investors Fund. The fund strategically invests in the stocks of companies spanning a broad array of sectors. To assess its performance, the fund benchmarks its portfolio against the S&P/TSX Composite Index, the MSCI World Index, and the S&P 500 Index. This entity was previously known as Consolidated Investment Corporation of Canada. United Corporations Limited was founded on February 1, 1929, and is domiciled in Canada.

Dividend Snapshot

StatusRecently Increased
Last Dividend$0.0213Paid Aug 14, 2026
Forward Annual$0.09
FrequencyQuarterly
Last Ex-DateAug 04, 2026The most recent ex-dividend date that has already passed.
Next Ex-DateNov 03, 2026$0.0217, scheduled; no declaration on fileThe ex-dividend date of the next payment the company has declared, or that is scheduled when no declaration is on file. Future dates our data provider only projects are not shown.
Next Pay DateNov 13, 2026
1-Yr Growth1050.8%Annual totals, 2024–2025
10-Yr Growth24.8%Annual totals, 2015–2025

Key Metrics

Current Yield

0.81%

At the Sep 14, 2026 price

The annual dividend as a percentage of the share price. A 3% yield is about $3 of dividends a year for every $100 invested at today's price.

Annualized Dividend

$0.0867

The most recent payment scaled to a full year by how often it's paid. A $0.25 quarterly dividend annualizes to $1.00.

Frequency

Q Quarterly

How often the dividend is paid: Q = quarterly (4x a year), M = monthly, S = semi-annual, A = annual.

Rank Score

67.0

As of Sep 14, 2026

Our 0-100 house score blending yield quality, payout sustainability (the trailing-twelve-month payout ratio), profitability (TTM return on equity), valuation (TTM price-to-book) and payment reliability, recomputed daily. Higher means a stronger profile on those factors in our model — a research score, not advice or a recommendation to buy.

RSI (14)

20

As of Sep 14, 2026

Relative Strength Index (0-100), a price-momentum gauge. Above 70 is often called 'overbought', below 30 'oversold'. A technical signal, not a dividend metric.

52-Week Range

$9.79 – $11.88

Closes through Sep 11, 2026

The lowest and highest price over the past year — shows where today's price sits in its recent range.

Payout Ratio (FY2025)

5.36%

Fiscal year to Dec 31, 2025

The share of earnings paid out as dividends over the trailing twelve months (TTM): dividends paid divided by net income across the company's four most recent reported quarters, dated by the latest quarter end. A fiscal-year tag such as FY2025 means only annual figures were available. Lower leaves more cushion; above 100% means paying out more than the company earned. It shows n/a for funds and when net income over the period was negative; for REITs and BDCs it is marked EPS-based, since they are judged on FFO/AFFO or net investment income instead.

Years Paying

36

How many years of payments we have on record. This can understate very long histories where our data doesn't reach far enough back.

Price / Book (FY2025)

0.48

At fiscal year-end, Dec 31, 2025

Price-to-book ratio: the share price on the date shown divided by the latest reported book value per share. A rough valuation gauge, most useful for asset-heavy sectors like REITs, banks and insurers.

S.A.F.E. Dividend Read

S.A.F.E. is our quick durability read on a dividend — the same four-check test used across the screener and our ranked lists. Solid: a model rank of 70+ and a yield of 2%+; the rank weighs the trailing-twelve-month payout ratio, return on equity and price-to-book. Accelerating: the dividend has grown over time, not stalled. Flawless: an unbroken record with no cuts or suspensions. Enduring: a long enough paying history to weather a cycle. All four met earns the S.A.F.E. flag.
S Solid
Below the Solid check (model rank 70+ and yield 2%+): rank 67/100, yield 0.81%.
A Accelerating
Dividend growth has stalled — 2 consecutive annual increase(s), under the 3 this check looks for.
F Flawless
A dividend cut or reduction appears in the record.
E Enduring
36 years of dividend payments on record.

Quote & Key Data

ExchangeOther OTCThe stock exchange where the shares trade, such as NYSE or Nasdaq.
Volume1,190Sep 11, 2026 sessionHow many shares changed hands in the latest session — a rough read on trading activity.
Open$10.70Sep 11, 2026 sessionThe price at the start of the latest trading session.
Day Range$10.70 – $10.70Sep 11, 2026 sessionThe lowest and highest price during the latest trading session.
Prev Close$10.70Close of Sep 10, 2026The closing price from the previous trading session.
Market Cap$1.20BAs of Sep 14, 2026The company's total market value — share price times shares outstanding — on the date shown.
Shares Out112.48MImplied by market cap, Sep 14, 2026Shares outstanding implied by the market cap and share price on the date shown.
EPS (FY2025)$4.06Fiscal year to Dec 31, 2025Earnings per share over the trailing twelve months (TTM), labeled with the end date of the latest reported quarter and shown in the company's reporting currency. Dividends are paid out of these earnings.
P/E (FY2025)4.9At fiscal year-end, Dec 31, 2025Price-to-earnings ratio: the share price on the date shown divided by trailing-twelve-month earnings per share. A rough gauge of how richly the stock is valued.
Last Ex-DateAug 04, 2026Paid Aug 14, 2026The most recent ex-dividend date that has already passed.
Next Ex-DateNov 03, 2026Pays Nov 13, 2026; scheduled, not yet declaredThe ex-dividend date of the next payment the company has declared, or that is scheduled when no declaration is on file. Future dates our data provider only projects are not shown.

Dividend Growth

3-Yr Growth (CAGR)44.8%Annual totals, 2022–2025The dividend's average annual growth rate over the period, compounded. Steady growth signals a healthy, rising payout.
5-Yr Growth (CAGR)51.3%Annual totals, 2020–2025The dividend's average annual growth rate over the period, compounded. Steady growth signals a healthy, rising payout.
Consecutive Increases2 yrsAnnual totals through 2025The number of years in a row the dividend has increased — a track record of reliability.

Why the Yield Moved (90 Days)

UCPLF's dividend yield fell from 1.61% to 0.81% over the past ~90 days (-0.80 pp). Of that move, -0.70 pp came from changes in the dividend rate and -0.09 pp from the share price ($10.08 on Jun 16, 2026 → $10.70 on Sep 14, 2026). A yield that rises because the price fell is not an improvement in the payout itself.

Yield vs Its Own History

Current0.81%
1-Yr Average5.14%
Low / High0.39% – 21.73%
Percentile18%

Across 326 daily observations over the past 15 months (through Sep 11, 2026), UCPLF's current yield is higher than approximately 18% of them. Our stored price history for UCPLF covers the past 15 months; 3- and 5-year averages are not yet computable from it and are deliberately not shown.

Adjusted Price History

Dividend History

Dividend Payment History

Ex-dividend calendar →
Amount Type Declared Ex-Date Record Pay
$0.0217 Q Regular upcoming, not yet declared - Nov 03, 2026 Nov 03, 2026 Nov 13, 2026
$0.0213 S Regular May 06, 2026 Aug 04, 2026 Aug 04, 2026 Aug 14, 2026
$0.0810 S Regular Feb 17, 2026 May 01, 2026 May 01, 2026 May 15, 2026
$1.0636 S Regular Jan 15, 2026 Feb 13, 2026 Feb 13, 2026 Feb 27, 2026
$0.0220 Q Regular Nov 05, 2025 Feb 03, 2026 Feb 03, 2026 Feb 13, 2026
$0.0213 Q Regular Jul 31, 2025 Nov 04, 2025 Nov 04, 2025 Nov 14, 2025
$0.0218 Q Regular Jun 18, 2025 Aug 05, 2025 Aug 05, 2025 Aug 15, 2025
$0.9220 S Regular May 06, 2025 Jun 16, 2025 Jun 16, 2025 Jun 30, 2025
$0.2172 Q Regular Feb 04, 2025 May 05, 2025 May 05, 2025 May 15, 2025
$11.6317 S Regular - Feb 14, 2025 Feb 14, 2025 Feb 28, 2025
$0.2078 Q Regular - Feb 03, 2025 Feb 03, 2025 Feb 14, 2025
$0.2154 Q Regular Aug 01, 2024 Nov 01, 2024 Nov 01, 2024 Nov 15, 2024
$0.2167 Q Regular Jun 19, 2024 Aug 02, 2024 Aug 02, 2024 Aug 15, 2024
$0.2912 S Regular May 07, 2024 Jun 14, 2024 Jun 14, 2024 Jun 28, 2024
$0.2190 Q Regular Feb 06, 2024 May 02, 2024 May 03, 2024 May 15, 2024
$0.2230 Q Regular - Feb 01, 2024 Feb 02, 2024 Feb 15, 2024
$0.2176 Q Regular Aug 01, 2023 Nov 02, 2023 Nov 03, 2023 Nov 15, 2023
$0.2250 Q Regular Jun 21, 2023 Aug 02, 2023 Aug 03, 2023 Aug 15, 2023
$0.1882 S Regular May 04, 2023 Jun 14, 2023 Jun 15, 2023 Jun 30, 2023
$0.2201 Q Regular Feb 07, 2023 May 02, 2023 May 03, 2023 May 15, 2023
$0.2260 Q Regular - Feb 02, 2023 Feb 03, 2023 Feb 15, 2023
$0.2201 Q Regular Aug 04, 2022 Nov 02, 2022 Nov 03, 2022 Nov 15, 2022
$0.2334 Q Regular Jun 23, 2022 Aug 02, 2022 Aug 03, 2022 Aug 15, 2022
$3.4928 S Regular Jun 22, 2022 Jun 28, 2022 Jun 29, 2022 Jul 15, 2022
$0.2329 Q Regular - May 02, 2022 May 03, 2022 May 13, 2022
$0.2367 Q Regular - Feb 02, 2022 Feb 03, 2022 Feb 15, 2022
$0.2416 Q Regular Aug 04, 2021 Nov 02, 2021 Nov 03, 2021 Nov 15, 2021
$0.2390 Q Regular Jun 16, 2021 Aug 04, 2021 Aug 05, 2021 Aug 13, 2021
$0.9149 S Regular May 05, 2021 Jun 14, 2021 Jun 15, 2021 Jun 30, 2021
$0.2435 Q Regular Feb 09, 2021 May 04, 2021 May 05, 2021 May 14, 2021
$0.2330 Q Regular - Feb 02, 2021 Feb 03, 2021 Feb 12, 2021
$0.2270 Q Regular - Nov 03, 2020 Nov 04, 2020 Nov 13, 2020
$0.2263 Q Regular Jun 17, 2020 Aug 05, 2020 Aug 06, 2020 Aug 14, 2020
$0.8021 S Regular - Jun 12, 2020 Jun 15, 2020 Jun 30, 2020
$0.2130 Q Regular Feb 11, 2020 May 04, 2020 May 05, 2020 May 15, 2020
$0.2259 Q Regular - Feb 04, 2020 Feb 05, 2020 Feb 14, 2020
$0.2283 Q Regular - Nov 04, 2019 Nov 05, 2019 Nov 15, 2019
$0.2273 Q Regular Jun 19, 2019 Aug 02, 2019 Aug 06, 2019 Aug 15, 2019
$0.7876 S Regular May 07, 2019 Jun 13, 2019 Jun 14, 2019 Jun 28, 2019
$0.2227 Q Regular Feb 12, 2019 May 02, 2019 May 03, 2019 May 15, 2019
$0.2286 Q Regular - Feb 04, 2019 Feb 05, 2019 Feb 15, 2019
$0.2289 Q Regular Aug 08, 2018 Nov 02, 2018 Nov 05, 2018 Nov 15, 2018
$0.2307 Q Regular Jun 20, 2018 Aug 02, 2018 Aug 03, 2018 Aug 15, 2018
$0.5968 S Regular May 08, 2018 Jun 14, 2018 Jun 15, 2018 Jun 29, 2018
$0.2335 Q Regular Feb 13, 2018 May 02, 2018 May 03, 2018 May 15, 2018
$0.2450 Q Regular - Feb 02, 2018 Feb 05, 2018 Feb 15, 2018
$0.2349 Q Regular Aug 02, 2017 Nov 03, 2017 Nov 06, 2017 Nov 15, 2017
$0.2392 Q Regular Jun 21, 2017 Aug 02, 2017 Aug 04, 2017 Aug 15, 2017
$0.8468 S Regular - Jun 13, 2017 Jun 15, 2017 Jun 30, 2017
$0.2183 Q Regular Feb 07, 2017 May 02, 2017 May 04, 2017 May 15, 2017
$0.1530 Q Regular - Feb 02, 2017 Feb 06, 2017 Feb 15, 2017
$0.1494 Q Regular Aug 03, 2016 Nov 02, 2016 Nov 04, 2016 Nov 15, 2016
$0.1529 I Regular Jun 22, 2016 Aug 03, 2016 Aug 05, 2016 Aug 15, 2016
$1.0397 M Regular May 06, 2016 Jun 13, 2016 Jun 15, 2016 Jun 30, 2016
$0.1576 I Regular Feb 10, 2016 May 03, 2016 May 05, 2016 May 13, 2016
$0.1430 Q Regular - Feb 02, 2016 - -
$0.1530 Q Regular - Nov 03, 2015 - -
$0.1517 Q Regular Jun 24, 2015 Aug 05, 2015 Aug 07, 2015 Aug 14, 2015
$0.8121 M Regular May 11, 2015 Jun 11, 2015 Jun 15, 2015 Jun 30, 2015
$0.1661 I Regular Feb 03, 2015 May 05, 2015 May 07, 2015 May 15, 2015
$0.1720 I Regular - Feb 03, 2015 - -
$0.1754 I Regular Aug 05, 2014 Nov 04, 2014 Nov 06, 2014 Nov 14, 2014
$0.1823 I Regular Jun 25, 2014 Aug 05, 2014 Aug 07, 2014 Aug 15, 2014
$0.6717 M Regular May 06, 2014 Jun 11, 2014 Jun 13, 2014 Jun 30, 2014
$0.1823 I Regular Feb 04, 2014 May 02, 2014 May 06, 2014 May 15, 2014
$0.1805 I Regular Nov 04, 2013 Feb 04, 2014 Feb 06, 2014 Feb 14, 2014
$0.1922 I Regular Aug 06, 2013 Nov 04, 2013 Nov 06, 2013 Nov 15, 2013
$0.1926 I Regular Jul 24, 2013 Aug 02, 2013 Aug 07, 2013 Aug 15, 2013
$0.1984 I Regular Feb 05, 2013 May 02, 2013 May 06, 2013 May 15, 2013
$0.2002 I Regular Nov 06, 2012 Feb 04, 2013 Feb 06, 2013 Feb 15, 2013
$0.2005 I Regular - Nov 01, 2012 Nov 05, 2012 Nov 15, 2012
$0.1997 I Regular - Aug 01, 2012 Aug 03, 2012 Aug 15, 2012
$0.2033 Q Regular - May 01, 2012 May 03, 2012 May 15, 2012
$0.2005 Q Regular - Feb 01, 2012 Feb 03, 2012 Feb 15, 2012
$0.1975 Q Regular - Nov 02, 2011 Nov 04, 2011 Nov 15, 2011
$0.2088 Q Regular - Aug 02, 2011 Aug 04, 2011 Aug 15, 2011
$0.2107 Q Regular - May 02, 2011 May 04, 2011 May 13, 2011
$0.2024 Q Regular - Feb 02, 2011 Feb 04, 2011 Feb 15, 2011
$0.1980 Q Regular - Nov 02, 2010 Nov 04, 2010 Nov 15, 2010
$0.1957 Q Regular - Aug 03, 2010 Aug 05, 2010 Aug 13, 2010
$0.1974 Q Regular - May 03, 2010 May 05, 2010 May 14, 2010
$0.1876 Q Regular - Feb 01, 2010 Feb 03, 2010 Feb 12, 2010
$0.1875 Q Regular - Nov 03, 2009 Nov 05, 2009 Nov 13, 2009
$0.1851 Q Regular - Jul 31, 2009 Aug 05, 2009 Aug 14, 2009
$0.1681 Q Regular - May 01, 2009 May 05, 2009 May 15, 2009
$0.1605 Q Regular - Feb 02, 2009 Feb 04, 2009 Feb 15, 2009
$0.1695 Q Regular - Nov 03, 2008 Nov 05, 2008 Nov 15, 2008
$0.1950 Q Regular - Aug 01, 2008 Aug 06, 2008 Aug 15, 2008
$0.1965 Q Regular - May 01, 2008 May 05, 2008 May 15, 2008
$0.2012 Q Regular - Feb 04, 2008 Feb 06, 2008 Feb 15, 2008
$0.2138 Q Regular - Nov 02, 2007 Nov 06, 2007 Nov 15, 2007
$0.1899 Q Regular - Aug 02, 2007 Aug 07, 2007 Aug 15, 2007
$0.1803 Q Regular - May 02, 2007 May 04, 2007 May 15, 2007
$0.1696 Q Regular - Jan 31, 2007 Feb 02, 2007 Feb 15, 2007
$0.1770 Q Regular - Nov 01, 2006 Nov 03, 2006 Nov 15, 2006
$0.1767 Q Regular - Aug 01, 2006 Aug 03, 2006 Aug 15, 2006
$0.1809 Q Regular - May 03, 2006 May 06, 2006 May 15, 2006
$0.1745 Q Regular - Feb 03, 2006 Feb 07, 2006 Feb 15, 2006
$0.1695 Q Regular - Nov 03, 2005 Nov 07, 2005 Nov 17, 2005
$0.1647 Q Regular - Aug 04, 2005 Aug 08, 2005 Aug 15, 2005
$0.1600 Q Regular - May 04, 2005 May 06, 2005 May 16, 2005
$0.1613 Q Regular - Feb 03, 2005 Feb 07, 2005 Feb 15, 2005
$0.1634 Q Regular - Nov 03, 2004 Nov 05, 2004 Nov 15, 2004
$0.1519 Q Regular - Aug 04, 2004 Aug 06, 2004 Aug 16, 2004
$0.1457 Q Regular - May 04, 2004 May 06, 2004 May 17, 2004
$0.1496 Q Regular - Feb 03, 2004 Feb 05, 2004 Feb 16, 2004
$0.1525 Q Regular - Oct 30, 2003 Nov 03, 2003 Nov 14, 2003
$0.1443 Q Regular - Jul 30, 2003 Aug 01, 2003 Aug 15, 2003
$0.1396 Q Regular - May 01, 2003 May 05, 2003 May 15, 2003
$0.1314 Q Regular - Jan 30, 2003 Feb 03, 2003 Feb 14, 2003
$0.1280 Q Regular - Oct 30, 2002 Nov 01, 2002 Nov 15, 2002
$0.1272 Q Regular - Jul 30, 2002 Aug 01, 2002 Aug 15, 2002
$0.1280 Q Regular - Apr 29, 2002 May 01, 2002 May 15, 2002
$1.2528 Q Regular - Mar 14, 2002 Mar 18, 2002 Mar 28, 2002
$0.1254 I Regular - Jan 30, 2002 Feb 01, 2002 Feb 15, 2002
$0.1270 I Regular - Oct 30, 2001 Nov 01, 2001 Nov 15, 2001
$0.1307 I Regular - Jul 30, 2001 Aug 01, 2001 Aug 15, 2001
$0.1294 M Regular - Apr 27, 2001 May 01, 2001 May 15, 2001
$0.1333 I Regular - Jan 30, 2001 Feb 01, 2001 Feb 15, 2001
$0.1307 I Regular - Oct 30, 2000 Nov 01, 2000 Nov 15, 2000

Peer Comparison

Selected Asset Management dividend payers we cover, strongest DividendRank first — for context, not a recommendation.

TickerNameYield5-Yr GrowthStreakRank
SOR Source Capital, Inc. 5.42% 8.8% 0 yrs 87
CGI.TO Canadian General Investments, Limited 2.36% 5.2% 7 yrs 83
CGRIF Canadian General Investments, Limited 2.27% 4.1% 2 yrs 79
TROW T. Rowe Price Group, Inc. 4.89% 7.1% 3 yrs 74

UCPLF dividend — frequently asked questions

Does United Corporations Limited pay a dividend?

Yes. United Corporations Limited (UCPLF) currently pays a dividend. The annualized dividend is about $0.09 per share, a yield of approximately 0.81%.

What is United Corporations Limited's dividend yield?

United Corporations Limited's dividend yield is approximately 0.81%, based on the most recent regular payment annualized against the current share price. Yields move as the share price changes.

How often does United Corporations Limited pay dividends?

United Corporations Limited pays dividends quarterly — 4 times per year.

When is United Corporations Limited's next ex-dividend date?

The next scheduled ex-dividend date for United Corporations Limited is November 3, 2026; no declaration is on file yet. The associated payment is $0.0217 per share; you must own the shares before the ex-dividend date to receive it.

How long has United Corporations Limited paid dividends?

United Corporations Limited has 36 years of dividend payments on record.

Data updated Sep 14, 2026. This research page is generated from Dividendly's structured market and dividend dataset using the approach described on our methodology and data sources pages. Data is automatically validated using defined rules and may also be periodically reviewed. Research only, not investment advice. Spotted a data error? Report it.

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