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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Public Storage 2024-03-12 €2.74 €11.09 4.610%
Federal Realty Investment Trust 2024-03-12 €1.00 €3.99 4.240%
Lam Research Corp. 2024-03-12 €1.83 €7.14 0.830%
Regency Centers 2024-03-12 €0.61 €2.44 4.470%
News Corp. B 2024-03-12 €0.092 €0.18 0.790%
News Corp A 2024-03-12 €0.092 €0.18 0.820%
Ameren Corp. 2024-03-12 €0.61 €2.37 3.430%
Principal Financial Group 2024-03-11 €0.63 €2.45 3.200%
Nordstrom Inc. 2024-03-11 €0.17 €0.17 0.980%
Omnicom Group Inc. 2024-03-08 €0.64 €2.58 2.860%
Fedex Corp. 2024-03-08 €1.15 €4.67 1.880%
Eaton Corp. 2024-03-08 €0.94 €3.52 1.160%
eBay Inc. 2024-03-08 €0.25 €0.94 1.930%
V.F. Corp. 2024-03-08 €0.082 €0.73 6.140%
Viatris Inc. 2024-03-08 €0.11 €0.11 1.010%
Praxair Inc. 2024-03-08 €0.030 €0.12 -
UnitedHealth Group Inc. 2024-03-08 €1.72 €6.92 1.490%
Public Service Enterprise Group 2024-03-07 €0.55 €2.14 3.370%
Automatic Data Processing Inc 2024-03-07 €1.28 €4.90 2.160%
Ametek Inc. 2024-03-07 €0.26 €0.95 0.570%
CME Group Inc. 2024-03-07 €1.05 €7.82 3.970%
Brown-Forman Corp. B 2024-03-07 €0.20 €0.78 1.740%
Tapestry Inc. 2024-03-07 €0.32 €0.32 0.870%
Kraft Heinz Co 2024-03-07 €0.37 €1.47 4.130%
Anthem Inc. 2024-03-07 €1.49 €5.61 1.120%
Northern Trust Corp. 2024-03-07 €0.68 €2.78 3.560%
Stanley Black & Decker Inc. 2024-03-07 €0.74 €1.48 1.770%
Weyerhaeuser Co. 2024-03-07 €0.18 €0.31 1.080%
Becton, Dickinson & Co. 2024-03-07 €0.87 €3.44 1.590%
Booking Holdings Inc. 2024-03-07 €7.99 €7.99 0.240%