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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Metlife Inc. 2022-05-09 €0.47 €1.91 2.870%
Aon plc 2022-04-29 €0.67 €2.94 1.110%
Unum Group 2022-04-28 €0.29 €1.35 2.850%
Lincoln National 2022-04-08 €0.41 €1.66 6.500%
Progressive Corp. 2022-04-06 €0.092 €1.06 0.540%
Marsh & McLennan Companies Inc. 2022-04-05 €0.49 €2.62 1.400%
Willis Towers Watson plc 2022-03-30 €0.73 €3.14 1.330%
Cincinnati Financial Corp. 2022-03-17 €0.62 €2.82 2.600%
American International Group Inc. 2022-03-16 €0.29 €1.33 1.880%
Everest Reinsurance 2022-03-15 €1.55 €6.90 2.010%
Travelers Companies 2022-03-09 €0.79 €3.70 1.860%
Principal Financial Group 2022-03-09 €0.58 €2.45 3.200%
W.R. Berkley Corp. 2022-03-08 €0.12 €1.33 1.850%
Arthur J. Gallagher + Co. 2022-03-03 €0.46 €2.08 0.940%
Hartford Financial Services Group 2022-02-28 €0.34 €1.65 1.820%
Assurant Inc. 2022-02-25 €0.60 €2.63 1.600%
Aflac Inc. 2022-02-15 €0.35 €1.62 2.070%
Prudential Financial 2022-02-14 €1.06 €4.65 4.450%
Metlife Inc. 2022-02-07 €0.42 €1.91 2.870%
Aon plc 2022-01-31 €0.61 €2.94 1.110%
Unum Group 2022-01-27 €0.27 €1.35 2.850%
Marsh & McLennan Companies Inc. 2022-01-26 €0.42 €2.62 1.400%
Lincoln National 2022-01-07 €0.40 €1.66 6.500%
Progressive Corp. 2022-01-06 €0.089 €1.06 0.540%
Willis Towers Watson plc 2021-12-30 €0.71 €3.14 1.330%
Progressive Corp. 2021-12-17 €1.33 €1.06 0.540%
American International Group Inc. 2021-12-15 €0.28 €1.33 1.880%
Cincinnati Financial Corp. 2021-12-15 €0.56 €2.82 2.600%
Travelers Companies 2021-12-09 €0.78 €3.70 1.860%
W.R. Berkley Corp. 2021-12-06 €1.00 €1.33 1.850%