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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Medtronic plc 2019-07-05 €0.48 €2.76 3.630%
Edison International 2019-07-05 $0.61 €2.80 4.130%
Quest Diagnostics Inc. 2019-07-05 $0.53 €2.66 2.090%
Roper Industries Inc. 2019-07-05 $0.46 €2.65 0.550%
Walt Disney Co. 2019-07-05 $0.88 €0.28 0.260%
Mccormick & Comp. 2019-07-05 $0.29 €1.49 2.120%
Progressive Corp. 2019-07-03 $0.10 €1.06 0.530%
General Dynamics Corp. 2019-07-03 $1.02 €5.00 1.850%
NetApp Inc. 2019-07-03 $0.48 €1.85 1.850%
Sysco Corp. 2019-07-03 $0.39 €1.85 2.640%
Sempra Energy 2019-07-03 $0.97 €2.77 4.090%
American Express Co. 2019-07-03 $0.39 €2.31 1.060%
JPMorgan Chase & Co. 2019-07-03 $0.80 €3.94 2.210%
Cisco Systems Inc. 2019-07-03 $0.35 €1.46 3.330%
Bristol-Myers Squibb 2019-07-03 $0.41 €2.16 5.310%
Comcast Corp. 2019-07-02 $0.21 €1.10 3.060%
Kimco Realty 2019-07-01 $0.28 €0.87 4.930%
Agilent Technologies Inc. 2019-07-01 $0.16 €0.85 0.650%
General Electric Co. 2019-06-28 $0.080 €0.48 0.310%
Republic Services 2019-06-28 $0.38 €1.94 1.120%
Quanta Services 2019-06-28 $0.040 €0.31 0.130%
Cardinal Health Inc. 2019-06-28 $0.48 €1.85 2.020%
Air Products + Chemicals 2019-06-28 $1.16 €6.48 2.820%
Ventas Inc. 2019-06-28 $0.79 €1.66 3.860%
State Street Corp. 2019-06-28 $0.47 €2.49 3.580%
Raymond James Financial 2019-06-28 $0.34 €1.61 1.370%
Realty Income Corp 2019-06-28 $0.23 €0.95 1.850%
FMC Corp. 2019-06-27 $0.40 €2.14 3.780%
Nucor Corp. 2019-06-27 $0.40 €1.94 1.220%
Ralph Lauren A 2019-06-27 $0.69 €0.69 0.450%