pay_lag
Answered against 22 years of US equities and 12 years of US options data and published with the query that produced it. This result is stored as of 2026-09-30, from us-dividend-tax-for-gulf-investors.
| ticker | ex_date_label | pay_date_label | days_to_payment |
|---|---|---|---|
| QCOM | Sep 3, 2026 | Sep 24, 2026 | 21 |
| MSFT | Nov 19, 2026 | Dec 10, 2026 | 21 |
| KO | Sep 15, 2026 | Oct 1, 2026 | 16 |
| AAPL | Aug 10, 2026 | Aug 13, 2026 | 3 |
- Rows × columns
- 4 × 4
- Computed
- Completeness
- No missing values
- Source
- US exchange, SIP and OPRA market data
- Licence
- Strasmore terms · free, no signup
What each column holds
| Column | Type | Range | Notes |
|---|---|---|---|
ticker |
text | 4 distinct values (AAPL, KO, MSFT…) | |
ex_date_label |
text | 4 distinct values (Aug 10, 2026, Nov 19, 2026, Sep 15, 2026…) | |
pay_date_label |
text | 4 distinct values (Aug 13, 2026, Dec 10, 2026, Oct 1, 2026…) | |
days_to_payment |
number | 3 to 21 |
Computed from Strasmore's warehouse of US exchange, SIP and OPRA market data. Equity prices are delayed; options greeks and implied volatility are end-of-day. This result is stored, not recomputed on load — it is exactly the numbers that were returned on , and the query below is what returned them.
Run it yourself
This is the exact query behind the result above. Change a ticker, a date or a column and run it against the warehouse — no account, no key. The no-signup tier is smaller than the one this page was computed on; a query that reaches past it comes back saying which plan runs it.
SELECT
ticker,
formatDateTime(max(ex_dividend_date), '%b %e, %Y') AS ex_date_label,
formatDateTime(argMax(pay_date, ex_dividend_date), '%b %e, %Y') AS pay_date_label,
dateDiff('day', max(ex_dividend_date), argMax(pay_date, ex_dividend_date)) AS days_to_payment
FROM global_markets.stocks_dividends
WHERE ticker IN ('QCOM', 'AAPL', 'MSFT', 'KO')
AND ex_dividend_date >= today() - 400
AND pay_date > ex_dividend_date
GROUP BY ticker
ORDER BY days_to_payment DESC
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