Dividends
Stock | Ex-date | Value | Total 1 year | Dividend Yield |
---|---|---|---|---|
Prudential plc | 2024-04-01 | €0.17 | €0.17 | 1.940% |
Prudential plc | 2024-03-28 | €0.17 | €0.17 | 1.940% |
Aon plc | 2024-01-31 | €0.72 | €2.85 | 1.070% |
Aon plc | 2023-10-31 | €0.71 | €2.85 | 1.070% |
Prudential plc | 2023-09-07 | €0.073 | €0.17 | 1.940% |
Aon plc | 2023-07-31 | €0.72 | €2.85 | 1.070% |
Aon plc | 2023-04-28 | €0.70 | €2.85 | 1.070% |
Prudential plc | 2023-03-23 | €0.15 | €0.17 | 1.940% |
Aon plc | 2023-01-31 | €0.64 | €2.85 | 1.070% |
Aon plc | 2022-10-31 | €0.65 | €2.85 | 1.070% |
Prudential plc | 2022-08-18 | €0.068 | €0.17 | 1.940% |
Aon plc | 2022-07-29 | €0.67 | €2.85 | 1.070% |
Aon plc | 2022-04-29 | €0.67 | €2.85 | 1.070% |
Prudential plc | 2022-03-24 | €0.14 | €0.17 | 1.940% |
Aon plc | 2022-01-31 | €0.61 | €2.85 | 1.070% |
Aon plc | 2021-10-29 | €0.60 | €2.85 | 1.070% |
Prudential plc | 2021-08-19 | €0.063 | €0.17 | 1.940% |
Aon plc | 2021-07-30 | €0.60 | €2.85 | 1.070% |
Aon plc | 2021-04-30 | €0.59 | €2.85 | 1.070% |
Prudential plc | 2021-03-25 | €0.13 | €0.17 | 1.940% |
Aon plc | 2021-01-29 | €0.52 | €2.85 | 1.070% |
Aon plc | 2020-10-30 | €0.51 | €2.85 | 1.070% |
Aon plc | 2020-07-31 | €0.38 | €2.85 | 1.070% |
Aon plc | 2020-01-31 | €0.40 | €2.85 | 1.070% |
Aon plc | 2019-10-31 | €0.40 | €2.85 | 1.070% |
Prudential plc | 2019-10-21 | €2.55 | €0.17 | 1.940% |
Prudential plc | 2019-08-22 | €0.18 | €0.17 | 1.940% |
Aon plc | 2019-07-31 | €0.40 | €2.85 | 1.070% |
Aon plc | 2019-04-30 | €0.39 | €2.85 | 1.070% |
Prudential plc | 2019-03-28 | €0.40 | €0.17 | 1.940% |