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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Aviva plc 2022-08-18 €0.16 €0.47 8.470%
Amerisafe Inc. 2022-06-16 €0.29 €1.28 2.890%
Safety Insurance Group Inc. 2022-05-31 €0.84 €3.33 4.590%
Kinsale Capital Group Inc 2022-05-27 €0.12 €0.27 0.080%
Aviva plc 2022-05-16 €1.58 €0.47 8.470%
Aviva plc 2022-04-07 €0.23 €0.47 8.470%
Tokio Marine Holdings Inc 2022-03-30 €0.31 €0.39 1.270%
Tokio Marine Holdings Inc 2022-03-30 €0.31 €0.39 1.270%
Tokio Marine Holdings Inc 2022-03-30 €0.31 €0.39 1.270%
T&D Holdings Inc 2022-03-30 €0.21 €0.44 2.760%
Tokio Marine Holdings Inc 2022-03-30 €0.31 €0.39 1.270%
T&D Holdings Inc 2022-03-30 €0.21 €0.44 2.760%
Tokio Marine Holdings Inc 2022-03-30 €0.31 €0.39 1.270%
T&D Holdings Inc 2022-03-30 €0.21 €0.44 2.760%
Tokio Marine Holdings Inc 2022-03-30 €0.31 €0.39 1.270%
T&D Holdings Inc 2022-03-30 €0.21 €0.44 2.760%
T&D Holdings Inc 2022-03-30 €0.21 €0.44 2.760%
Amerisafe Inc. 2022-03-10 €0.28 €1.28 2.890%
United Insurance Holdings Corp 2022-03-08 €0.055 €0.21 2.130%
Kinsale Capital Group Inc 2022-03-01 €0.12 €0.27 0.080%
Safety Insurance Group Inc. 2022-02-28 €0.80 €3.33 4.590%
Fanhua Inc ADR 2021-12-07 €0.11 €0.53 17.390%
Amerisafe Inc. 2021-12-02 €0.26 €1.28 2.890%
Safety Insurance Group Inc. 2021-11-30 €0.79 €3.33 4.590%
Kinsale Capital Group Inc 2021-11-26 €0.097 €0.27 0.080%
United Insurance Holdings Corp 2021-11-19 €0.053 €0.21 2.130%
Amerisafe Inc. 2021-11-09 €3.48 €1.28 2.890%
Tokio Marine Holdings Inc 2021-09-29 €0.28 €0.39 1.270%
Tokio Marine Holdings Inc 2021-09-29 €0.28 €0.39 1.270%
Tokio Marine Holdings Inc 2021-09-29 €0.28 €0.39 1.270%