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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Chevron Corp. 2013-02-13 €0.67 €5.79 3.950%
Apple Inc. 2013-02-07 €0.070 €0.90 0.510%
Exxon Mobil Corp. 2013-02-07 €0.42 €3.47 3.280%
International Business Machines Corp 2013-02-06 €0.63 €6.15 3.940%
Intel Corp. 2013-02-05 €0.17 €0.46 1.620%
Pfizer Inc. 2013-01-30 €0.17 €1.53 5.880%
Procter & Gamble Co. 2013-01-16 €0.42 €3.54 2.360%
Verizon Communications Inc. 2013-01-08 €0.40 €2.44 6.740%
American Express Co. 2013-01-02 €0.15 €2.31 1.060%
JPMorgan Chase & Co. 2013-01-02 €0.23 €3.94 2.140%
Caterpillar Inc. 2012-12-20 €0.40 €4.80 1.500%
Merck & Co. Inc. 2012-12-13 €0.33 €2.77 2.380%
UnitedHealth Group Inc. 2012-12-07 €0.16 €6.92 1.490%
Walt Disney Co. 2012-12-06 €0.57 €0.28 0.300%
Nike Inc. B 2012-12-06 €0.080 €1.31 1.550%
Travelers Companies 2012-12-06 €0.35 €3.70 1.910%
Walmart Inc. 2012-12-05 €0.31 €1.43 2.390%
McDonalds Corp. 2012-11-29 €0.60 €5.90 2.530%
Goldman Sachs Group Inc. 2012-11-28 €0.39 €9.90 2.340%
Coca-Cola Co. 2012-11-28 €0.20 €1.72 3.020%
Home Depot Inc. 2012-11-27 €0.23 €7.84 2.590%
Cisco Systems Inc. 2012-11-27 €0.11 €1.46 3.420%
Johnson & Johnson 2012-11-23 €0.48 €4.43 3.340%
3M Company 2012-11-20 €0.46 €4.81 5.290%
Raytheon Technologies Corp. 2012-11-14 €0.42 €2.21 2.270%
Chevron Corp. 2012-11-14 €0.71 €5.79 3.950%
Visa Inc. A 2012-11-14 €0.065 €1.86 0.740%
Microsoft Corp. 2012-11-13 €0.18 €2.70 0.680%
Exxon Mobil Corp. 2012-11-07 €0.45 €3.47 3.280%
Apple Inc. 2012-11-07 €0.074 €0.90 0.510%