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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Abbott Laboratories 2020-07-14 €0.32 €1.96 2.010%
Bristol-Myers Squibb 2020-07-02 €0.40 €2.16 5.180%
Merck & Co. Inc. 2020-06-12 €0.54 €2.77 2.310%
Gilead Sciences Inc 2020-06-11 €0.60 €2.79 4.450%
Johnson & Johnson 2020-05-22 €0.92 €4.39 3.130%
Amgen Inc. 2020-05-15 €1.48 €7.97 2.790%
Eli Lilly Corp. 2020-05-14 €0.68 €4.33 0.620%
Pfizer Inc. 2020-05-07 €0.33 €1.53 5.810%
Zoetis Inc. A 2020-04-16 €0.18 €1.49 0.960%
AbbVie Inc. 2020-04-14 €1.09 €5.59 3.740%
Abbott Laboratories 2020-04-14 €0.33 €1.96 2.010%
Bristol-Myers Squibb 2020-04-02 €0.41 €2.16 5.180%
Merck & Co. Inc. 2020-03-13 €0.54 €2.77 2.310%
Gilead Sciences Inc 2020-03-12 €0.60 €2.79 4.450%
Johnson & Johnson 2020-02-24 €0.88 €4.39 3.130%
Amgen Inc. 2020-02-13 €1.47 €7.97 2.790%
Eli Lilly Corp. 2020-02-13 €0.68 €4.33 0.620%
Pfizer Inc. 2020-01-30 €0.33 €1.53 5.810%
Zoetis Inc. A 2020-01-16 €0.18 €1.49 0.960%
Abbott Laboratories 2020-01-14 €0.32 €1.96 2.010%
AbbVie Inc. 2020-01-14 €1.06 €5.59 3.740%
Bristol-Myers Squibb 2020-01-02 €0.40 €2.16 5.180%
Merck & Co. Inc. 2019-12-13 €0.55 €2.77 2.310%
Gilead Sciences Inc 2019-12-12 €0.57 €2.79 4.450%
Johnson & Johnson 2019-11-25 €0.86 €4.39 3.130%
Amgen Inc. 2019-11-14 €1.32 €7.97 2.790%
Eli Lilly Corp. 2019-11-14 €0.59 €4.33 0.620%
Pfizer Inc. 2019-11-07 €0.31 €1.53 5.810%
Zoetis Inc. A 2019-10-21 €0.15 €1.49 0.960%
AbbVie Inc. 2019-10-11 €0.97 €5.59 3.740%