Snap-on Incorporated(SPU) EUR 219
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.63%EUR 1.373USD1.622023-02-22
20222.28%EUR 4.984USD1.622022-11-18
USD1.422022-08-18
USD1.422022-05-19
USD1.422022-02-22
20211.98%EUR 4.331USD1.422021-11-18
USD1.232021-08-19
USD1.232021-05-20
USD1.232021-02-22
20201.73%EUR 3.789USD1.232020-11-19
USD1.082020-08-19
USD1.082020-05-20
USD1.082020-02-21
20191.52%EUR 3.331USD1.082019-11-19
USD0.952019-08-19
USD0.952019-05-20
USD0.952019-02-22
20181.32%EUR 2.89USD0.952018-11-19
USD0.822018-08-16
USD0.822018-05-18
USD0.822018-03-01
20170.87%EUR 1.899USD0.822017-11-16
USD0.712017-08-16
USD0.712017-05-17
20160.51%EUR 1.119USD0.712016-11-16
USD0.612016-08-17
20150.85%EUR 1.865USD0.612015-11-20
USD0.532015-08-21
USD0.532015-05-18
USD0.532015-02-20
20140.68%EUR 1.492USD0.442014-11-20
USD0.442014-08-21
USD0.442014-05-16
USD0.442014-02-20
20130.61%EUR 1.339USD0.442013-11-20
USD0.382013-08-21
USD0.382013-05-16
USD0.382013-02-26
20120.54%EUR 1.187USD0.382012-11-15
USD0.342012-08-16
USD0.342012-05-17
USD0.342012-02-22
20110.38%EUR 0.831USD0.342011-11-16
USD0.322011-08-18
USD0.322011-05-18