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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Franklin Resources Inc. 2024-03-27 €0.29 €1.13 5.280%
Avalon Bay Communities Inc. 2024-03-27 €1.57 €6.14 3.460%
Klepierre S.A. Inh. 2024-03-22 €0.90 €1.78 7.070%
National Bank of Canada 2024-03-22 €0.53 €2.13 2.780%
National Bank of Canada 2024-03-22 €0.53 €2.13 2.780%
Equity Residential 2024-03-22 €0.62 €2.46 4.030%
Hongkong Land Holdings 2024-03-21 €0.16 €0.22 7.430%
Everest Reinsurance 2024-03-18 €1.75 €6.90 2.010%
Cincinnati Financial Corp. 2024-03-18 €0.74 €2.82 2.600%
Cincinnati Financial Corp. 2024-03-18 €0.74 €2.82 2.600%
Huntington Bancshares Inc. 2024-03-15 €0.14 €0.57 4.530%
Huntington Bancshares Inc. 2024-03-15 €0.14 €0.57 4.530%
Prologis Inc. 2024-03-15 €0.88 €3.29 3.440%
Crown Castle Internatl Corp. 2024-03-14 €1.44 €5.78 6.570%
Intercontinental Exchange Inc. 2024-03-14 €0.41 €1.58 1.310%
Extra Space Storage 2024-03-14 €1.49 €4.44 3.470%
T.Rowe Price Group Inc. 2024-03-14 €1.14 €4.52 4.400%
T.Rowe Price Group Inc. 2024-03-14 €1.14 €4.52 4.400%
NatWest Group plc 2024-03-14 €0.13 €0.13 3.790%
Comerica Inc. 2024-03-14 €0.65 €2.62 5.550%
Digital Realty Trust 2024-03-14 €1.12 €4.50 3.460%
Nasdaq OMX Group Inc. 2024-03-13 €0.20 €0.81 1.450%
Nasdaq OMX Group Inc. 2024-03-13 €0.20 €0.81 1.450%
Hong Kong Exchanges and Clearing Ltd 2024-03-13 €0.46 €0.46 1.520%
American International Group Inc. 2024-03-13 €0.33 €1.33 1.880%
Public Storage 2024-03-12 €2.74 €11.09 4.560%
Brookfield Corp. 2024-03-12 €0.054 €0.74 1.980%
Brookfield Corp. 2024-03-12 €0.054 €0.74 1.980%
Sun Hung Kai Properties 2024-03-12 €0.11 €0.55 6.500%
Regency Centers 2024-03-12 €0.61 €2.44 4.430%