FASTENAL(FAS) EUR 49.175
Dividend Yield(TTM) =2.52%
Year Yield Total Amount Ex Date
20222.52%EUR 1.24EUR0.312022-10-26
EUR0.312022-07-26
EUR0.312022-04-26
EUR0.312022-02-01
20212.28%EUR 1.12EUR0.282021-10-25
0.282021-07-26
0.282021-04-23
0.282021-02-02
20202.85%EUR 1.40.42020-12-01
0.252020-10-26
0.252020-07-27
0.252020-04-27
0.252020-01-30
20191.77%EUR 0.870.222019-10-24
0.222019-07-24
0.2152019-04-23
0.2152019-01-30
20181.57%EUR 0.770.22018-10-23
0.22018-07-24
0.1852018-04-24
0.1852018-01-30
20171.30%EUR 0.640.162017-10-24
0.162017-07-24
0.162017-04-24
0.162017-01-30
20161.22%EUR 0.60.152016-10-21
0.152016-07-22
0.152016-04-22
0.152016-01-27
20151.14%EUR 0.560.142015-10-23
0.142015-07-24
0.142015-04-24
0.142015-01-28
20141.02%EUR 0.50.1252014-10-22
0.1252014-07-23
0.1252014-04-23
0.1252014-01-29
20130.81%EUR 0.40.1252013-10-23
0.1252013-07-24
0.12013-04-30
0.052013-01-30
20121.26%EUR 0.620.252012-12-05
0.1052012-10-25
0.0952012-07-25
0.0852012-04-30
0.0852012-01-30
20110.66%EUR 0.3250.072011-10-24
0.0652011-07-21
0.0652011-04-13
0.1252011-02-11
20100.21%EUR 0.1050.1052010-11-22