Avangrid Inc(12A) EUR 36.4
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.02%EUR 0.373USD0.442023-02-28
20224.10%EUR 1.492USD0.442022-11-30
USD0.442022-09-01
USD0.442022-06-02
USD0.442022-02-28
20214.10%EUR 1.492USD0.442021-12-10
USD0.442021-09-02
USD0.442021-06-03
USD0.442021-03-04
20204.10%EUR 1.492USD0.442020-12-10
USD0.442020-08-31
USD0.442020-06-02
USD0.442020-03-05
20194.10%EUR 1.492USD0.442019-12-11
USD0.442019-09-05
USD0.442019-06-06
USD0.442019-03-07
20184.06%EUR 1.478USD0.442018-12-10
USD0.442018-09-06
USD0.4322018-06-07
USD0.4322018-03-08
20174.02%EUR 1.465USD0.4322017-12-08
USD0.4322017-09-07
USD0.4322017-06-07
USD0.4322017-03-08
20163.02%EUR 1.098USD0.4322016-12-08
USD0.4322016-09-07
USD0.4322016-03-08