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UNITED BANCORP INC /OH/ (UBCP) Dividend

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UNITED BANCORP INC /OH/ Dividend

A dividend is the cash a company pays its shareholders for each share they own, and the dividend yield is that payment as a percentage of the share price. Each row pairs a dividend per share with the split-adjusted closing price on its ex-dividend date, the first day a new purchaser is no longer entitled to that payment; the yield divides the dividend by that same-day close, never today's price. A higher yield means more cash paid per dollar of share price for that single payment. The annual view adds up the payments in each year and shows the latest yield.

  • UNITED BANCORP INC /OH/ dividend per share for the quarter ending 2026-06-10 was $0.195, a 5.41% increase year-over-year.
  • UNITED BANCORP INC /OH/ dividend per share for the quarter ending 2026-03-10 was $0.368, a 2.79% increase year-over-year.
  • UNITED BANCORP INC /OH/ dividend per share for the quarter ending 2025-12-10 was $0.19, a 5.56% increase year-over-year.
  • UNITED BANCORP INC /OH/ dividend per share for the quarter ending 2025-09-10 was $0.188, a 5.62% increase year-over-year.
Available history
1993 to 2026-06-10
Data captured

Historical Dividend

DateDividend per shareDividend Yield
2026-06-10$0.1951.23%
2026-03-10$0.3682.37%
2025-12-10$0.191.39%
2025-09-10$0.1881.28%
2025-06-10$0.1851.39%
2025-03-10$0.3582.78%
2024-12-10$0.181.27%
2024-09-10$0.1781.47%
2024-06-10$0.1751.52%
2024-03-07$0.3232.69%
2023-12-07$0.171.54%
2023-09-07$0.1681.43%
2023-06-08$0.1651.41%
2023-03-09$0.3132.13%
2022-12-08$0.161.06%
2022-09-08$0.1581.00%
2022-06-09$0.1550.93%
2022-03-09$0.3031.80%
2021-12-09$0.150.95%
2021-09-09$0.1480.97%
2021-06-09$0.1450.94%
2021-03-09$0.2431.63%
2020-12-09$0.1431.10%
2020-09-09$0.1431.13%
2020-06-09$0.1431.12%
2020-03-09$0.1431.13%
2019-12-09$0.141.05%
2019-09-09$0.1381.21%
2019-06-07$0.1351.18%
2019-03-07$0.1331.24%
2018-12-07$0.181.51%
2018-09-07$0.130.97%
2018-06-07$0.130.93%
2018-03-08$0.131.08%
2017-12-07$0.171.40%
2017-09-07$0.120.99%
2017-06-07$0.110.95%
2017-03-08$0.110.87%
2016-12-07$0.161.20%
2016-09-07$0.111.05%
2016-06-08$0.101.01%
2016-03-04$0.101.09%
2015-12-04$0.151.60%
2015-09-03$0.091.08%
2015-06-08$0.091.06%
2015-03-06$0.091.12%
2014-12-05$0.091.09%
2014-09-05$0.080.98%
2014-06-06$0.081.02%
2014-03-06$0.080.96%
2013-11-25$0.081.09%
2013-09-06$0.071.01%
2013-06-06$0.071.00%
2013-03-06$0.071.04%
2012-11-21$0.071.11%
2012-08-30$0.070.92%
2012-05-17$0.141.49%
2012-03-01$0.141.55%
2011-11-22$0.141.69%
2011-08-31$0.141.60%
2011-05-18$0.141.60%
2011-03-02$0.141.61%
2010-11-23$0.141.70%
2010-09-01$0.141.75%
2010-05-19$0.141.65%
2010-03-03$0.141.67%
2009-11-24$0.141.75%
2009-09-02$0.141.65%
2009-05-20$0.141.62%
2009-03-04$0.141.87%
2008-11-25$0.141.60%
2008-09-03$0.141.45%
2008-05-21$0.131.24%
2008-03-05$0.131.35%
2007-11-28$0.131.23%
2007-09-05$0.131.15%
2007-05-23$0.131.25%
2007-03-07$0.131.25%
2006-11-29$0.1181.04%
2006-09-06$0.1181821.21%
2006-05-24$0.1181821.16%
2006-03-08$0.1181821.20%
2005-11-30$0.1072730.94%
2005-09-06$0.1181821.02%
2005-05-25$0.1181821.00%
2005-03-04$0.1181820.90%
2004-12-01$0.1181820.78%
2004-09-03$0.1074380.90%
2004-05-26$0.1074380.88%
2004-03-05$0.1074380.81%
2003-11-28$0.1074380.80%
2003-09-04$0.0976710.94%
2003-05-28$0.0976710.97%
2003-03-06$0.0976710.97%
2002-11-27$0.0976710.99%
2002-08-28$0.093021.01%
2002-05-29$0.093021.00%
2002-03-04$0.093021.01%
2001-11-29$0.093021.00%
2001-08-29$0.088591.00%

Annual Dividend

DateDividend per shareDividend Yield
2026$0.5631.23%
2025$0.9211.39%
2024$0.8561.27%
2023$0.8161.54%
2022$0.7761.06%
2021$0.6860.95%
2020$0.5721.10%
2019$0.5461.05%
2018$0.571.51%
2017$0.511.40%
2016$0.471.20%
2015$0.421.60%
2014$0.331.09%
2013$0.291.09%
2012$0.421.11%
2011$0.561.69%
2010$0.561.70%
2009$0.561.75%
2008$0.541.60%
2007$0.521.23%
2006$0.4725461.04%
2005$0.4618190.94%
2004$0.4404960.78%
2003$0.4004510.80%
2002$0.3767310.99%
2001$0.358791.00%
2000$0.3417061.26%
1999$0.3192540.93%
1998$0.2922770.63%
1997$0.2590160.51%
1996$0.2301170.56%
1995$0.2247660.67%
1994$0.1712520.42%
1993$0.101680.30%

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