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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Extra Space Storage 2012-06-13 €0.16 €4.44 3.530%
Eastman Chemical Co. 2012-06-13 €0.21 €2.96 3.280%
Digital Realty Trust 2012-06-13 €0.58 €4.50 3.420%
Devon Energy Corp. 2012-06-13 €0.16 €2.03 4.160%
Textron Inc. 2012-06-13 €0.016 €0.074 0.080%
Comerica Inc. 2012-06-13 €0.12 €2.62 5.330%
Coca-Cola Co. 2012-06-13 €0.20 €1.72 2.990%
UnitedHealth Group Inc. 2012-06-13 €0.17 €6.92 1.520%
Ametek Inc. 2012-06-13 €0.048 €0.95 0.570%
Western Union Co. 2012-06-13 €0.080 €0.87 6.810%
Albemarle Corp 2012-06-13 €0.16 €1.47 1.370%
Leggett & Platt Inc. 2012-06-13 €0.22 €1.70 9.990%
Macy's Inc. 2012-06-13 €0.16 €0.16 0.910%
Merck & Co. Inc. 2012-06-13 €0.33 €2.77 2.330%
Motorola Solutions 2012-06-13 €0.18 €3.43 1.060%
NOV Inc. 2012-06-13 €0.096 €0.046 0.260%
T.Rowe Price Group Inc. 2012-06-12 €0.27 €4.52 4.360%
Omnicom Group Inc. 2012-06-12 €0.24 €2.58 2.880%
Amphenol Corp. 2012-06-11 €0.021 €0.79 0.730%
Ameren Corp. 2012-06-11 €0.32 €2.37 3.380%
HP Inc. 2012-06-11 €0.11 €0.99 3.780%
Public Storage 2012-06-11 €0.87 €11.09 4.520%
HF Sinclair Corp. 2012-06-08 €0.12 €1.71 3.160%
Newmont Mining Corp._INT 2012-06-08 €0.28 €1.34 4.350%
Best Buy Co. 2012-06-08 €0.13 €3.42 4.920%
W.R. Berkley Corp. 2012-06-08 €0.048 €1.33 1.830%
ViacomCBS Inc. A 2012-06-07 €0.080 €0.18 0.860%
Kansas City Southern 2012-06-07 €0.16 €1.83 0.710%
H&R Block Inc. 2012-06-07 €0.16 €1.16 2.640%
Prologis Inc. 2012-06-07 €0.23 €3.29 3.410%