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VZ payment cadence: days between ex-dates, and ex-date to cash

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 2026-10-04, from VZ Dividend 2026: Dates, Payout and Yield.

as of series 27×5read in context →
VZ payment cadence: days between ex-dates, and ex-date to cash — 27 rows by 5 columns, computed from US exchange, SIP and OPRA data.
ex_onex_date_labelpay_datedays_since_prior_exdays_ex_to_pay
2020-04-09April 9, 2020May 1, 20209122
2020-07-09July 9, 2020August 3, 20209125
2020-10-08October 8, 2020November 2, 20209125
2021-01-07January 7, 2021February 1, 20219125
2021-04-08April 8, 2021May 3, 20219125
2021-07-08July 8, 2021August 2, 20219125
2021-10-07October 7, 2021November 1, 20219125
2022-01-07January 7, 2022February 1, 20229225
2022-04-07April 7, 2022May 2, 20229025
2022-07-07July 7, 2022August 1, 20229125
2022-10-06October 6, 2022November 1, 20229126
2023-01-09January 9, 2023February 1, 20239523
2023-04-06April 6, 2023May 1, 20238725
2023-07-07July 7, 2023August 1, 20239225
2023-10-06October 6, 2023November 1, 20239126
2024-01-09January 9, 2024February 1, 20249523
2024-04-09April 9, 2024May 1, 20249122
2024-07-10July 10, 2024August 1, 20249222
2024-10-10October 10, 2024November 1, 20249222
2025-01-10January 10, 2025February 3, 20259224
2025-04-10April 10, 2025May 1, 20259021
2025-07-10July 10, 2025August 1, 20259122
2025-10-10October 10, 2025November 3, 20259224
2026-01-12January 12, 2026February 2, 20269421
2026-04-10April 10, 2026May 1, 20268821
2026-07-10July 10, 2026August 3, 20269124
2026-10-09October 9, 2026November 2, 20269124
Rows × columns
27 × 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 VZ payment cadence: days between ex-dates, and ex-date to cash, derived from the stored result.
ColumnTypeRangeNotes
ex_on date 2020-04-09 to 2026-10-09
ex_date_label text 27 distinct values
pay_date text 27 distinct values
days_since_prior_ex number 87 to 95
days_ex_to_pay number 21 to 26

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.

WITH paid AS
(
    SELECT
        ex_dividend_date AS ex_date,
        max(pay_date) AS pay_on
    FROM global_markets.stocks_dividends
    WHERE ticker = 'VZ'
      AND ex_dividend_date >= '2020-01-01'
      AND ex_dividend_date <  '2027-01-01'
      AND cash_amount > 0
    GROUP BY ex_dividend_date
)
SELECT
    toString(ex_date) AS ex_on,
    concat(monthName(ex_date), ' ', toString(toDayOfMonth(ex_date)), ', ', toString(toYear(ex_date))) AS ex_date_label,
    concat(monthName(pay_on), ' ', toString(toDayOfMonth(pay_on)), ', ', toString(toYear(pay_on))) AS pay_date,
    dateDiff('day', prev_ex, ex_date) AS days_since_prior_ex,
    dateDiff('day', ex_date, pay_on) AS days_ex_to_pay
FROM
(
    SELECT
        ex_date,
        pay_on,
        lagInFrame(ex_date) OVER (ORDER BY ex_date ASC ROWS BETWEEN 1 PRECEDING AND CURRENT ROW) AS prev_ex
    FROM paid
)
WHERE prev_ex >= '2020-01-01'
ORDER BY ex_date
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