Record Date |
Payment Date |
Distribution* |
Sec. 1446 Qualified Notices
|
08/01/2023 |
08/15/2023 |
$24.10 |
PAA Series B Distribution
|
05/01/2023 |
05/15/2023 |
$22.18 |
PAA Series B Distribution
|
02/01/2023 |
02/15/2023 |
$22.27 |
PAA Series B Distribution
|
11/01/2022 |
11/15/2022 |
$30.625 |
|
05/02/2022 |
05/16/2022 |
$30.625 |
|
11/01/2021 |
11/15/2021 |
$30.625 |
|
05/03/2021 |
05/17/2021 |
$30.625 |
|
11/02/2020 |
11/16/2020 |
$30.625 |
|
05/01/2020 |
05/15/2020 |
$30.625 |
|
11/01/2019 |
11/15/2019 |
$30.625 |
|
05/01/2019 |
05/15/2019 |
$30.625 |
|
11/01/2018 |
11/15/2018 |
$30.625 |
|
05/01/2018 |
05/15/2018 |
$30.625 |
|
11/01/2017 |
11/15/2017 |
$5.9549 |
|
* As provided in PAA's limited partnership agreement, effective November 15, 2022, distributions on the PAA Series B Preferred Units will be paid on a quarterly (versus semi-annual) basis and will accumulate at a floating rate equal to the applicable three-month LIBOR rate plus 4.11% (as compared to the prior fixed accumulation rate of 6.125%)
|