STRASMORE/EXPLORE 2,749 QUERIES

aapl_dividends

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 2026-09-28, from us-dividend-tax-for-israeli-investors.

as of series 12×5read in context →
aapl_dividends — 12 rows by 5 columns, computed from US exchange, SIP and OPRA data.
dateex_date_labelpay_date_labelcash_amountnet_after_treaty
2023-11-1010.11.202316.11.20230.240.18
2024-02-0909.02.202415.02.20240.240.18
2024-05-1010.05.202416.05.20240.250.1875
2024-08-1212.08.202415.08.20240.250.1875
2024-11-0808.11.202414.11.20240.250.1875
2025-02-1010.02.202513.02.20250.250.1875
2025-05-1212.05.202515.05.20250.260.195
2025-08-1111.08.202514.08.20250.260.195
2025-11-1010.11.202513.11.20250.260.195
2026-02-0909.02.202612.02.20260.260.195
2026-05-1111.05.202614.05.20260.270.2025
2026-08-1010.08.202613.08.20260.270.2025
Rows × columns
12 × 5
Period covered
to
Computed
Completeness
No missing values
Source
US exchange, SIP and OPRA market data
Licence
Strasmore terms · free, no signup
Formats
JSON · CSV · the SQL below

What each column holds

Column definitions for aapl_dividends, derived from the stored result.
ColumnTypeRangeNotes
date date 2023-11-10 to 2026-08-10
ex_date_label text 12 distinct values (08.11.2024, 09.02.2024, 09.02.2026…)
pay_date_label text 12 distinct values (12.02.2026, 13.02.2025, 13.08.2026…)
cash_amount number 0.24 to 0.27
net_after_treaty number 0.18 to 0.2025

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
    date,
    ex_date_label,
    pay_date_label,
    gross_usd AS cash_amount,
    net_usd   AS net_after_treaty
FROM
(
    SELECT
        toString(ex_dividend_date)                   AS date,
        formatDateTime(ex_dividend_date, '%d.%m.%Y') AS ex_date_label,
        formatDateTime(any(pay_date), '%d.%m.%Y')    AS pay_date_label,
        round(toFloat64(any(cash_amount)), 4)        AS gross_usd,
        round(toFloat64(any(cash_amount)) * 0.75, 4) AS net_usd
    FROM global_markets.stocks_dividends
    WHERE ticker = 'AAPL'
      AND currency = 'USD'
      AND ex_dividend_date <= today()
    GROUP BY ex_dividend_date
    ORDER BY ex_dividend_date DESC
    LIMIT 12
)
ORDER BY date
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