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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Humana Inc. 2020-03-30 €0.57 €2.23 0.620%
Medtronic plc 2020-03-26 €0.50 €2.37 2.190%
Dentsply Sirona Inc. 2020-03-26 €0.092 €0.34 0.630%
Zimmer Holdings 2020-03-26 €0.22 €0.86 0.680%
Anthem Inc. 2020-03-13 €0.85 €3.46 1.040%
UnitedHealth Group Inc. 2020-03-13 €0.96 €4.36 1.220%
Thermo Fisher Scientific Inc. 2020-03-13 €0.20 €0.80 0.180%
Becton, Dickinson & Co. 2020-03-09 €0.70 €2.73 1.270%
Cigna Corp. 2020-03-09 €0.035 €0.82 0.420%
HCA Holdings Inc. 2020-02-28 €0.39 €1.01 0.480%
Teleflex Inc. 2020-02-28 €0.31 €1.14 0.330%
Universal Health Services B 2020-02-28 €0.18 €0.16 0.130%
Baxter International 2020-02-27 €0.20 €0.85 1.340%
Allergan plc 2020-02-13 €0.68 €1.35 0.760%
Resmed Inc. 2020-02-12 €0.36 €1.30 0.560%
PerkinElmer Inc. 2020-01-16 €0.063 €0.23 0.150%
Quest Diagnostics Inc. 2020-01-13 €0.48 €1.99 1.600%
Humana Inc. 2019-12-30 €0.49 €2.23 0.620%
Stryker Corp. 2019-12-30 €0.52 €1.98 0.890%
Agilent Technologies Inc. 2019-12-30 €0.16 €0.64 0.490%
Zimmer Holdings 2019-12-27 €0.22 €0.86 0.680%
Cerner Corp. 2019-12-27 €0.16 €0.70 1.040%
Medtronic plc 2019-12-27 €0.49 €2.37 2.190%
Dentsply Sirona Inc. 2019-12-27 €0.090 €0.34 0.630%
Thermo Fisher Scientific Inc. 2019-12-16 €0.17 €0.80 0.180%
Becton, Dickinson & Co. 2019-12-09 €0.71 €2.73 1.270%
UnitedHealth Group Inc. 2019-12-06 €0.97 €4.36 1.220%
Baxter International 2019-12-05 €0.20 €0.85 1.340%
Anthem Inc. 2019-12-04 €0.72 €3.46 1.040%
Universal Health Services B 2019-12-04 €0.18 €0.16 0.130%