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BPYPNpreferred

Brookfield Property Partners L.P. 5.750% Class A Cumulative Redeemable Perpetual Preferred Units, Series 3 Dividend Date & History

Brookfield Property Partners L.P. 5.750% Class A Cumulative Redeemable Perpetual Preferred Units, Series 3 (BPYPN) is tracked as a US stock. Its next collected ex-dividend date is September 1, 2026. The page separates event payout yield from trailing annual yield and leaves unannounced values blank.

Market price $14.09TTM cash/share $1.436Frequency Quarterly

Trailing annual yield

10.19%

View BPYPN stock page

Next ex-dividend date

September 1, 2026

Next payment date

September 29, 2026

Next amount per share

$0.3594

Trailing annual yield

10.19%

BPYPN dividend history

Inferred frequency: Quarterly

Latest 3 collected records
Ex-datePayment dateAmount/shareEvent yieldSource
2026-09-012026-09-29$0.35942.55%Nasdaq
2026-06-012026-06-30$0.3592.55%Nasdaq
2026-02-27Not announced$0.3592.55%Nasdaq

BPYPN dividend FAQ

When is the next BPYPN ex-dividend date?

The next collected BPYPN ex-dividend date is September 1, 2026. Announced schedules can change, so verify the date with the issuer before trading.

How much is the next BPYPN dividend?

The collected amount is $0.3594 per share, with a payment date of September 29, 2026.

How often does BPYPN pay dividends?

Quarterly is the cadence inferred from the available event history. It is descriptive, not a promise of future payments.

Is the BPYPN yield guaranteed?

No. The displayed trailing yield uses past cash payments and a recent market price. Future dividends and market prices can change.

Data sources: Nasdaq dividend calendar and Yahoo Finance market enrichment. Last data update: 2026-09-01 11:40:20 KST. Information is not investment, tax or legal advice. Issuer announcements and broker records control.

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