NewsMV
In focus for PAI ($PAI) income shareholders, a monthly cash dividend of USD 0.0525 per share has been declared. The ex-dividend and record dates are both set for November 20, 2026, with payment scheduled for November 30.
Both the ex-dividend and record dates land on the same day, November 20, which creates a clean eligibility cutoff. Holders on the books as of that date qualify for the distribution.
Buyers who enter on November 20 or after will not receive this payment. The ten-day window between the record date and the November 30 payment follows standard cash dividend settlement practice.
The monthly cadence is the detail that matters for positioning. Most dividend-paying equities run on a quarterly schedule.
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