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San Juan Basin Royalty Trust (SJT)

NYSE - Nasdaq Real Time Price. Currency in USD
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13.84-0.26 (-1.84%)
As of 12:17PM EDT. Market open.
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Trade prices are not sourced from all markets
Previous Close14.10
Open13.69
Bid13.81 x 1400
Ask13.86 x 1100
Day's Range13.31 - 13.88
52 Week Range3.75 - 14.70
Volume387,747
Avg. Volume988,703
Market Cap645.066M
Beta (5Y Monthly)0.99
PE Ratio (TTM)15.21
EPS (TTM)0.91
Earnings DateAug 15, 2022 - Aug 19, 2022
Forward Dividend & Yield1.19 (8.45%)
Ex-Dividend DateJul 28, 2022
1y Target EstN/A
  • Business Wire

    San Juan Basin Royalty Trust Declares Cash Distribution for July 2022

    HOUSTON, July 19, 2022--PNC Bank, National Association, as the trustee (the "Trustee") of the San Juan Basin Royalty Trust (the "Trust") (NYSE: SJT), today declared a monthly cash distribution to the holders (the "Unit Holders") of its units of beneficial interest (the "Units") of $6,766,905.11 or $0.145185 per Unit, based primarily upon the reported production of the Trust’s subject interests (the "Subject Interests") during the month of May 2022. The distribution is payable August 12, 2022, to

  • Business Wire

    San Juan Basin Royalty Trust Declares Cash Distribution for June 2022

    HOUSTON, June 17, 2022--PNC Bank, National Association, as the trustee (the "Trustee") of the San Juan Basin Royalty Trust (the "Trust") (NYSE: SJT), today declared a monthly cash distribution to the holders (the "Unit Holders") of its units of beneficial interest (the "Units") of $5,202,132.35 or $0.111613 per Unit, based primarily upon the reported production of the Trust’s subject interests (the "Subject Interests") during the month of April 2022. The distribution is payable July 15, 2022, to

  • Business Wire

    San Juan Basin Royalty Trust Declares Cash Distribution for May 2022

    HOUSTON, May 20, 2022--PNC Bank, National Association, as the trustee (the "Trustee") of the San Juan Basin Royalty Trust (the "Trust") (NYSE: SJT), today declared a monthly cash distribution to the holders (the "Unit Holders") of its units of beneficial interest (the "Units") of $4,277,812.64 or $0.091781 per Unit, based primarily upon the reported production of the Trust’s subject interests (the "Subject Interests") during the month of March 2022. The distribution is payable June 14, 2022, to