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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Ford Motor Co. 2024-05-07 €0.14 €0.14 1.260%
Metlife Inc. 2024-05-06 €0.51 €1.95 3.010%
FirstEnergy Corp. 2024-05-06 €0.39 €1.51 4.200%
Las Vegas Sands Corp. 2024-05-06 €0.19 €0.19 0.460%
Intel Corp. 2024-05-06 €0.12 €0.46 1.660%
Baker Hughes A GE Co. 2024-05-03 €0.20 €0.76 2.600%
Ameriprise Financial Inc. 2024-05-03 €1.37 €5.11 1.310%
Healthpeak Properties Inc. 2024-05-03 €0.28 €1.11 6.170%
Eaton Corp. 2024-05-03 €0.94 €3.60 1.250%
Citigroup Inc. 2024-05-03 €0.49 €1.96 3.440%
Synchrony Financial 2024-05-03 €0.23 €0.93 2.340%
Norfolk Southern Corp. 2024-05-02 €1.26 €5.00 2.430%
Lamb Weston Holdings Inc 2024-05-02 €0.34 €1.19 1.500%
Constellation Brands Inc. 2024-05-02 €0.94 €3.42 1.490%
D.R. Horton Inc. 2024-05-01 €0.28 €1.06 0.800%
Entergy Corp. 2024-05-01 €1.05 €4.13 4.010%
Citizens Financial 2024-04-30 €0.39 €1.56 4.970%
Aon plc 2024-04-30 €0.79 €2.94 1.120%
NRG Energy Inc. 2024-04-30 €0.38 €1.46 2.040%
Pinnacle West Capital Corp. 2024-04-30 €0.82 €3.26 4.590%
Realty Income Corp 2024-04-30 €0.24 €0.96 1.920%
Oneok Inc. 2024-04-30 €0.93 €3.61 4.980%
AES Corporation 2024-04-30 €0.16 €0.63 3.360%
Hasbro Inc. 2024-04-30 €0.66 €2.60 4.830%
Kinder Morgan Inc. 2024-04-29 €0.27 €1.05 5.780%
SL Green Realty Corp. 2024-04-29 €0.23 €0.93 1.860%
ConAgra Foods Inc. 2024-04-29 €0.33 €1.30 4.740%
Nisource Inc. 2024-04-29 €0.25 €0.96 3.650%
Morgan Stanley 2024-04-29 €0.79 €3.15 3.540%
A.O. Smith Corp. 2024-04-29 €0.30 €1.17 1.550%