DOMINION RES(DOD) EUR 57.17
Dividend Yield(TTM) =4.67%
Year Yield Total Amount Ex Date
20224.67%EUR 2.67EUR0.66752022-12-01
EUR0.66752022-09-01
EUR0.66752022-06-02
EUR0.66752022-03-03
20214.41%EUR 2.52EUR0.632021-12-02
0.632021-09-02
0.632021-06-03
0.632021-03-04
20206.03%EUR 3.450.632020-12-03
0.942020-09-03
0.942020-06-04
0.942020-02-27
20196.42%EUR 3.670.91752019-12-05
0.91752019-09-05
0.91752019-06-06
0.91752019-02-28
20185.84%EUR 3.340.8352018-12-06
0.8352018-09-06
0.8352018-05-31
0.8352018-03-01
20175.31%EUR 3.0350.772017-11-30
0.7552017-08-30
0.7552017-05-31
0.7552017-03-01
20163.67%EUR 2.10.72016-11-30
0.72016-08-31
0.72016-03-02
20154.53%EUR 2.590.64752015-11-23
0.64752015-08-26
0.64752015-05-27
0.64752015-02-25
20144.20%EUR 2.40.62014-11-25
0.62014-08-27
0.62014-05-28
0.62014-02-26
20133.94%EUR 2.250.56252013-12-04
0.56252013-09-04
0.56252013-06-05
0.56252013-02-26
20123.69%EUR 2.110.52752012-11-28
0.52752012-08-29
0.52752012-05-30
0.52752012-02-29
20113.45%EUR 1.970.49252011-11-30
0.49252011-08-24
0.49252011-05-25
0.49252011-03-02
20102.40%EUR 1.3730.45752010-11-24
0.45752010-08-25
0.45752010-05-26