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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Banco Mediolanum SpA 2024-04-22 €0.42 €0.42 4.260%
Old Mutual 2024-04-17 €0.024 €0.065 -
Swiss Re AG ADR 2024-04-16 €1.60 €1.60 6.400%
American Equity Investment Life Holding Co. 2024-04-12 €0.36 €0.36 0.690%
American Financial Group Inc. 2024-04-12 €0.67 €5.04 4.200%
Zurich Insurance Group AG ADR 2024-04-12 €2.76 €2.76 6.050%
Aviva plc ADR 2024-04-11 €0.53 €0.53 4.910%
Just Retirement Group plc 2024-04-11 €0.018 €0.018 1.520%
Chesnara plc 2024-04-11 €0.18 €0.18 6.260%
Aviva plc 2024-04-11 €0.33 €0.47 8.550%
Phoenix Group Holdings 2024-04-11 €0.31 €0.31 5.350%
Lincoln National 2024-04-09 €0.41 €1.66 6.190%
Erie Indemnity Co 2024-04-08 €1.17 €4.52 1.280%
Storebrand ASA 2024-04-05 €0.35 €0.35 4.200%
Direct Line Insurance Grp. 2024-04-04 €0.047 €0.047 2.070%
Sanlam Ltd. 2024-04-03 €0.20 €0.20 6.340%
Progressive Corp. 2024-04-03 €0.092 €1.06 0.530%
Marsh & McLennan Companies Inc. 2024-04-03 €0.66 €2.62 1.390%
Prudential plc ADR 2024-04-01 €0.26 €0.26 1.600%
Prudential plc 2024-04-01 €0.17 €0.17 1.900%
MS&AD Insurance Group Holdings Inc 2024-03-28 €0.73 €1.50 8.850%
Prudential plc 2024-03-28 €0.17 €0.17 1.900%
Dai-ichi Life Insurance Co Ltd 2024-03-28 €0.53 €0.53 2.530%
Japan Post Holdings Co Ltd 2024-03-28 €0.15 €0.15 1.800%
T&D Holdings Inc 2024-03-28 €0.21 €0.44 2.870%
Sompo Holdings Inc 2024-03-28 €0.92 €1.82 9.720%
Japan Post Insurance Co Ltd 2024-03-28 €0.29 €0.29 1.640%
Tokio Marine Holdings Inc 2024-03-28 €0.003 €0.39 1.320%
Willis Towers Watson plc 2024-03-27 €0.81 €3.14 1.270%
Power Corporation of Canada 2024-03-27 €0.28 €1.09 4.290%