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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
AbbVie Inc. 2022-01-13 €1.23 €5.59 3.750%
Bristol-Myers Squibb 2022-01-06 €0.48 €2.16 5.160%
Merck & Co. Inc. 2021-12-14 €0.61 €2.77 2.260%
Gilead Sciences Inc 2021-12-14 €0.63 €2.79 4.560%
Johnson & Johnson 2021-11-22 €0.94 €4.39 3.220%
Amgen Inc. 2021-11-15 €1.55 €7.97 3.160%
Eli Lilly Corp. 2021-11-12 €0.74 €4.33 0.630%
Pfizer Inc. 2021-11-04 €0.34 €1.52 6.400%
Zoetis Inc. A 2021-10-28 €0.22 €1.49 1.010%
AbbVie Inc. 2021-10-14 €1.12 €5.59 3.750%
Abbott Laboratories 2021-10-14 €0.39 €1.96 1.950%
Bristol-Myers Squibb 2021-09-30 €0.42 €2.16 5.160%
Gilead Sciences Inc 2021-09-14 €0.60 €2.79 4.560%
Merck & Co. Inc. 2021-09-14 €0.55 €2.77 2.260%
Johnson & Johnson 2021-08-23 €0.90 €4.39 3.220%
Amgen Inc. 2021-08-16 €1.50 €7.97 3.160%
Eli Lilly Corp. 2021-08-12 €0.72 €4.33 0.630%
Pfizer Inc. 2021-07-29 €0.33 €1.52 6.400%
Zoetis Inc. A 2021-07-20 €0.21 €1.49 1.010%
AbbVie Inc. 2021-07-14 €1.10 €5.59 3.750%
Abbott Laboratories 2021-07-14 €0.38 €1.96 1.950%
Bristol-Myers Squibb 2021-07-01 €0.41 €2.16 5.160%
Gilead Sciences Inc 2021-06-14 €0.59 €2.79 4.560%
Merck & Co. Inc. 2021-06-14 €0.54 €2.77 2.260%
Johnson & Johnson 2021-05-24 €0.87 €4.39 3.220%
Amgen Inc. 2021-05-14 €1.45 €7.97 3.160%
Eli Lilly Corp. 2021-05-13 €0.70 €4.33 0.630%
Pfizer Inc. 2021-05-06 €0.32 €1.52 6.400%
Zoetis Inc. A 2021-04-20 €0.21 €1.49 1.010%
Abbott Laboratories 2021-04-14 €0.38 €1.96 1.950%