Dividends for National Storage REIT in 2026 (Updated Date)
National Storage REIT logo
National Storage REIT
Price 2.79AUD
0.00 (0.00%)
Dividend Yield 4.30%
Payout Ratio 1,303.37%
Dividend Growth 0 years
ISIN AU000000NSR2
Ticker NSR
Sector Real Estate
Industry REIT - Industrial
Index S&P/ASX 200
Updated: Apr 21, 2026, 6:11:28 AM (UTC)

National Storage REIT Dividends

Time for the next dividend:
00 D
:
00 H
:
00 M
:
00 S
Confirmed
Calculator
Dividend/share amount Ex-dividend Date Payment Date Dividend Yield
Next Dividend $0.06 12/30/25 2/20/26 N/A
Last Dividend $0.056 6/27/25 9/2/25 2.43%

National Storage REIT Dividend Calendar

Event Day
Last trading date December 29, 2025
Ex-date December 30, 2025
Record date December 31, 2025
Payable date February 20, 2026

*Dividend data confirmed by the company
Powered by

National Storage REIT dividend history

Ex-DateAmountVariationDiv. Yield
2025$0.116 5.45% 4.61%
12/29/25$0.062.20%
6/27/25$0.0562.43%
2024$0.11 0.00% 4.71%
12/29/24$0.0552.32%
6/27/24$0.0552.39%
2023$0.11 0.92% 4.70%
12/27/23$0.0552.37%
6/29/23$0.0552.33%
2022$0.109 23.86% 4.81%
12/28/22$0.0552.34%
6/29/22$0.0542.48%
2021$0.088 19.55% 3.77%
12/29/21$0.0461.72%
6/29/21$0.0422.10%
2020$0.073608 24.49% 3.88%
12/29/20$0.0397882.04%
6/29/20$0.033821.84%
2019$0.097481 4.68% 5.40%
12/29/19$0.0467512.54%
6/27/19$0.050732.87%
2018$0.093127 1.45% 5.50%
12/27/18$0.0447622.50%
6/28/18$0.0483653.02%
2017$0.091795 4.63% 6.05%
12/27/17$0.0463913.04%
6/29/17$0.0454043.01%
2016$0.087733 7.29% 5.52%
12/28/16$0.0454043.09%
6/29/16$0.0423292.48%
2015$0.081772 8.98% 5.37%
12/28/15$0.0413672.77%
6/26/15$0.0404052.60%
2014$0.0750375.76%
12/28/14$0.0384812.81%
6/26/14$0.0365562.96%

National Storage REIT Dividend Analysis

Yield last year
0.00%
0/3
Growth last year
0.00%
0/3
Years in a row paying
0
0/3
Yield Last 5 years
0.00%
0/3
Growth last 5 years
0.00%
0/3
Consecutive years of rising dividends
0
0/3
Yield last 10 years
0.00%
0/3
Growth last 10 years
0.00%
0/3
Payout Ratio
0.00%
0/3
Final Score
0/27

National Storage REIT FAQ

Investors in National Storage REIT (NSR) will receive a dividend of $0.06 per share, equivalent to a yield of 0.00%.

National Storage REIT (NSR) has set February 20, 2026 as the next date for dividend payment, offering $0.06 per share to those who are shareholders before December 30, 2025.

National Storage REIT made the last dividend payment of $0.056 per share on September 2, 2025.

Dividends in National Storage REIT are awarded in the months of June and December, following a scheme of semiannual payments.

Given that there are no dividend payments in National Storage REIT, a dividend yield is not available.

The payout ratio of National Storage REIT is 0.00%, as there were no dividend distributions in the last fiscal period.

One year of dividend payments by National Storage REIT is insufficient to categorize its dividends as growing.