Morningstar® Stock Report™

Bank Bradesco SA BBD

Historical Dividends
Fecha declaradaEx DatePayment DateTipo de activoDivisaMonto
17/04/202403/05/202410/06/2024Cash DividendUSD0.00
06/03/202402/04/202409/05/2024Cash DividendUSD0.00
06/02/202404/03/202408/04/2024Cash DividendUSD0.00
18/01/202402/02/202408/03/2024Cash DividendUSD0.00
14/12/202303/01/202412/02/2024Cash DividendUSD0.00
13/12/202322/12/202312/01/2024Cash DividendUSD0.04
13/12/202322/12/202312/01/2024Special Cash DividendUSD0.10
07/11/202304/12/202312/01/2024Cash DividendUSD0.00
12/10/202302/11/202311/12/2023Cash DividendUSD0.00
12/09/202303/10/202313/11/2023Cash DividendUSD0.00
09/08/202301/09/202310/10/2023Cash DividendUSD0.00
12/07/202302/08/202311/09/2023Cash DividendUSD0.00
13/06/202303/07/202308/08/2023Cash DividendUSD0.00
16/06/202327/06/202313/07/2023Cash DividendUSD0.04
15/05/202302/06/202313/07/2023Cash DividendUSD0.00
06/04/202303/05/202308/06/2023Cash DividendUSD0.00
10/02/202302/03/202313/04/2023Cash DividendUSD0.00
11/01/202302/02/202308/03/2023Cash DividendUSD0.00
27/12/202209/01/202320/03/2023Cash DividendUSD0.11
27/12/202205/01/202308/02/2023Cash DividendUSD0.00
26/10/202202/12/202209/01/2023Cash DividendUSD0.00
18/10/202203/11/202208/12/2022Cash DividendUSD0.00
14/08/202204/10/202208/11/2022Cash DividendUSD0.00
10/08/202202/09/202211/10/2022Cash DividendUSD0.00
22/06/202201/07/202210/08/2022Cash DividendUSD0.00
10/06/202221/06/202208/07/2022Cash DividendUSD0.04
12/05/202202/06/202208/07/2022Cash DividendUSD0.00
11/04/202203/05/202208/06/2022Cash DividendUSD0.00
11/03/202204/04/202209/05/2022Cash DividendUSD0.00
04/02/202203/03/202208/04/2022Cash DividendUSD0.00
14/01/202202/02/202209/03/2022Cash DividendUSD0.00
17/12/202104/01/202208/02/2022Cash DividendUSD0.00
10/12/202121/12/202110/01/2022Cash DividendUSD0.04
05/11/202102/12/202113/01/2022Cash DividendUSD0.00
19/10/202103/11/202108/12/2021Cash DividendUSD0.00
20/09/202104/10/202108/11/2021Cash DividendUSD0.00
09/08/202102/09/202112/10/2021Cash DividendUSD0.00
14/07/202103/08/202108/09/2021Cash DividendUSD0.00
23/06/202102/07/202119/07/2021Special Cash DividendUSD0.09
12/05/202103/06/202108/07/2021Cash DividendUSD0.00
12/04/202104/05/202108/06/2021Cash DividendUSD0.00
10/03/202101/04/202110/05/2021Cash DividendUSD0.00
05/02/202102/03/202108/04/2021Cash DividendUSD0.00
04/02/202118/02/202115/03/2021Special Cash DividendUSD0.00
07/01/202102/02/202108/03/2021Cash DividendUSD0.00
24/12/202005/01/202108/02/2021Cash DividendUSD0.00
15/12/202029/12/202014/01/2021Cash DividendUSD0.06
13/11/202002/12/202011/01/2021Cash DividendUSD0.00
16/10/202004/11/202011/12/2020Cash DividendUSD0.00
17/09/202002/10/202010/11/2020Cash DividendUSD0.00
10/08/202002/09/202008/10/2020Cash DividendUSD0.00
16/07/202004/08/202009/09/2020Cash DividendUSD0.00
11/06/202002/07/202010/08/2020Cash DividendUSD0.00
18/05/202002/06/202013/07/2020Cash DividendUSD0.00
01/05/202008/05/202008/06/2020Cash DividendUSD0.00
20/03/202002/04/202011/05/2020Cash DividendUSD0.00
12/02/202003/03/202008/04/2020Cash DividendUSD0.00
06/02/202018/02/202009/03/2020Special Cash DividendUSD0.01
10/01/202004/02/202009/03/2020Cash DividendUSD0.00
23/12/201903/01/202010/02/2020Cash DividendUSD0.00
10/12/201920/12/201909/01/2020Cash DividendUSD0.10
20/11/201903/12/201909/01/2020Cash DividendUSD0.00
17/10/201904/11/201909/12/2019Cash DividendUSD0.00
08/10/201918/10/201930/10/2019Special Cash DividendUSD0.19
19/09/201902/10/201908/11/2019Cash DividendUSD0.00
07/08/201903/09/201908/10/2019Cash DividendUSD0.00
22/07/201902/08/201909/09/2019Cash DividendUSD0.00
18/06/201902/07/201908/08/2019Cash DividendUSD0.00
19/06/201901/07/201922/07/2019Cash DividendUSD0.04
24/05/201904/06/201909/07/2019Cash DividendUSD0.00
10/04/201903/05/201910/06/2019Cash DividendUSD0.00
22/03/201905/04/201909/05/2019Cash DividendUSD0.00
12/02/201906/03/201908/04/2019Cash DividendUSD0.00
04/01/201904/02/201908/03/2019Cash DividendUSD0.00
14/12/201803/01/201908/02/2019Cash DividendUSD0.00
12/12/201826/12/201815/03/2019Cash DividendUSD0.12
08/11/201804/12/201809/01/2019Cash DividendUSD0.00
25/10/201805/11/201810/12/2018Cash DividendUSD0.00
12/09/201802/10/201808/11/2018Cash DividendUSD0.00
20/07/201804/09/201809/10/2018Cash DividendUSD0.00
18/07/201802/08/201810/09/2018Cash DividendUSD0.00
25/05/201803/07/201808/08/2018Cash DividendUSD0.00
18/06/201802/07/201823/07/2018Cash DividendUSD0.03
14/05/201804/06/201810/07/2018Cash DividendUSD0.00
19/04/201803/05/201808/06/2018Cash DividendUSD0.00
14/02/201806/04/201809/05/2018Cash DividendUSD0.00
24/01/201802/03/201809/04/2018Cash DividendUSD0.00
17/01/201802/02/201812/03/2018Cash DividendUSD0.00
21/12/201703/01/201808/02/2018Cash DividendUSD0.00
13/12/201726/12/201715/03/2018Special Cash DividendUSD0.14
06/11/201704/12/201709/01/2018Cash DividendUSD0.00
12/10/201702/11/201708/12/2017Cash DividendUSD0.00
13/09/201703/10/201713/11/2017Special Cash DividendUSD0.00
23/08/201706/09/201712/10/2017Special Cash DividendUSD0.00
11/07/201702/08/201708/09/2017Special Cash DividendUSD0.00
04/05/201703/07/201708/08/2017Cash DividendUSD0.03
03/05/201703/07/2017-Special Cash DividendUSD0.04
18/04/201702/06/201711/07/2017Cash DividendUSD0.00
19/04/201702/06/201711/07/2017Special Cash DividendUSD0.00
07/02/201703/05/201708/06/2017Special Cash DividendUSD0.00
28/02/201704/04/201709/05/2017Special Cash DividendUSD0.00
03/02/201702/03/201710/04/2017Special Cash DividendUSD0.00
17/01/201702/02/201708/03/2017Special Cash DividendUSD0.00
23/12/201603/01/201708/02/2017Special Cash DividendUSD0.00
19/12/201622/12/201615/03/2017Special Cash DividendUSD0.04
18/11/201602/12/201609/01/2017Special Cash DividendUSD0.00
19/10/201603/11/201608/12/2016Special Cash DividendUSD0.00
20/09/201604/10/201608/11/2016Special Cash DividendUSD0.00
22/09/201603/10/201615/03/2017Special Cash DividendUSD0.10
18/08/201602/09/201611/10/2016Cash DividendUSD0.00
15/07/201602/08/201609/09/2016Special Cash DividendUSD0.00
20/06/201601/07/201608/08/2016Special Cash DividendUSD0.00
16/06/201623/06/201625/07/2016Special Cash DividendUSD0.03
18/05/201602/06/2016-Cash DividendUSD0.00
02/06/201602/06/201611/07/2016Special Cash DividendUSD0.00
04/04/201603/05/201608/06/2016Special Cash DividendUSD0.00
02/04/201604/04/201609/05/2016Special Cash DividendUSD0.00
01/03/201602/03/201608/04/2016Special Cash DividendUSD0.00
25/01/201602/02/201609/03/2016Special Cash DividendUSD0.00
30/11/201505/01/201608/02/2016Special Cash DividendUSD0.00
23/11/201517/12/201508/03/2016Cash DividendUSD0.11
26/10/201517/12/201508/03/2016Special Cash DividendUSD0.10
29/06/201502/12/201511/01/2016Special Cash DividendUSD0.00
29/09/201504/11/201514/12/2015Special Cash DividendUSD0.00
01/09/201502/10/201510/11/2015Special Cash DividendUSD0.00
01/09/201502/09/201508/10/2015Special Cash DividendUSD0.00
15/07/201504/08/201509/09/2015Special Cash DividendUSD0.00
15/06/201501/07/201510/08/2015Special Cash DividendUSD0.00
01/06/201523/06/201524/07/2015Special Cash DividendUSD0.03
19/05/201502/06/201508/07/2015Cash DividendUSD0.00
18/05/201502/06/201508/07/2015Special Cash DividendUSD0.00
20/04/201505/05/201508/06/2015Cash DividendUSD0.00
01/05/201505/05/201508/06/2015Special Cash DividendUSD0.00
18/03/201502/04/201511/05/2015Special Cash DividendUSD0.00
17/02/201503/03/201508/04/2015Special Cash DividendUSD0.00
26/01/201510/02/201516/03/2015Special Cash DividendUSD0.02
20/01/201503/02/201509/03/2015Special Cash DividendUSD0.00
19/12/201405/01/201509/02/2015Special Cash DividendUSD0.00
09/12/201424/12/201413/03/2015Special Cash DividendUSD0.08
16/12/201423/12/201413/03/2015Special Cash DividendUSD0.08
01/12/201402/12/201409/01/2015Special Cash DividendUSD0.00
28/10/201404/11/201408/12/2014Special Cash DividendUSD0.00
16/09/201402/10/201410/11/2014Special Cash DividendUSD0.00
19/08/201402/09/201408/10/2014Special Cash DividendUSD0.00
22/07/201404/08/2014-Special Cash DividendUSD0.00
17/06/201402/07/201408/08/2014Special Cash DividendUSD0.00
13/06/201425/06/201425/07/2014Cash DividendUSD0.04
22/05/201403/06/201409/07/2014Special Cash DividendUSD0.00
02/05/201405/05/201409/06/2014Special Cash DividendUSD0.00
20/03/201402/04/201412/05/2014Special Cash DividendUSD0.00
01/04/201406/03/201408/04/2014Special Cash DividendUSD0.00
30/01/201411/02/201414/03/2014Cash DividendUSD0.03
23/01/201404/02/2014-Special Cash DividendUSD0.00
19/12/201303/01/201413/02/2014Special Cash DividendUSD0.00
12/12/201326/12/2013-Special Cash DividendUSD0.06
19/11/201303/12/201309/01/2014Special Cash DividendUSD0.00
18/10/201304/11/201312/12/2013Special Cash DividendUSD0.00
19/09/201302/10/201308/11/2013Special Cash DividendUSD0.00
20/08/201303/09/201311/10/2013Special Cash DividendUSD0.00
22/07/201302/08/201312/09/2013Special Cash DividendUSD0.00
17/06/201302/07/201308/08/2013Special Cash DividendUSD0.00
14/06/201328/06/201325/07/2013Special Cash DividendUSD0.04
21/05/201304/06/201308/07/2013Special Cash DividendUSD0.00
16/04/201303/05/201310/06/2013Special Cash DividendUSD0.00
19/03/201302/04/201309/05/2013Special Cash DividendUSD0.00
15/02/201304/03/201308/04/2013Special Cash DividendUSD0.00
28/01/201306/02/201318/03/2013Cash DividendUSD0.01
18/01/201304/02/201311/03/2013Special Cash DividendUSD0.00
19/12/201203/01/201311/02/2013Special Cash DividendUSD0.00
13/12/201226/12/201214/03/2013Special Cash DividendUSD0.10
19/11/201204/12/201214/01/2013Special Cash DividendUSD0.00
23/10/201205/11/201213/12/2012Special Cash DividendUSD0.00
20/09/201202/10/201213/11/2012Cash DividendUSD0.00
15/08/201204/09/201211/10/2012Cash DividendUSD0.00
22/08/201204/09/201211/10/2012Special Cash DividendUSD0.00
13/07/201202/08/201213/09/2012Cash DividendUSD0.00
23/07/201202/08/201213/09/2012Special Cash DividendUSD0.00
13/06/201203/07/201208/08/2012Cash DividendUSD0.00
23/06/201203/07/201208/08/2012Special Cash DividendUSD0.00
20/06/201228/06/201225/07/2012Special Cash DividendUSD0.04
23/05/201204/06/201209/07/2012Cash DividendUSD0.00
20/04/201203/05/201208/06/2012Cash DividendUSD0.00
09/03/201203/04/201209/05/2012Cash DividendUSD0.00
16/02/201202/03/201209/04/2012Cash DividendUSD0.00
01/02/201213/02/201216/03/2012Special Cash DividendUSD0.01
21/01/201202/02/201208/03/2012Cash DividendUSD0.00
23/12/201103/01/201208/02/2012Cash DividendUSD0.00
10/11/201113/12/201115/03/2012Special Cash DividendUSD0.13
19/11/201102/12/201109/01/2012Cash DividendUSD0.00
18/10/201103/11/201108/12/2011Cash DividendUSD0.00
21/09/201104/10/201108/11/2011Cash DividendUSD0.00
24/08/201102/09/201111/10/2011Cash DividendUSD0.00
06/07/201102/08/201108/09/2011Cash DividendUSD0.00
06/07/201113/07/201108/08/2011Cash DividendUSD0.00
17/06/201128/06/201125/07/2011Special Cash DividendUSD0.04
19/05/201102/06/201108/07/2011Cash DividendUSD0.00
20/04/201103/05/201108/06/2011Cash DividendUSD0.00
05/04/201106/04/201109/05/2011Cash DividendUSD0.00
15/02/201102/03/201108/04/2011Cash DividendUSD0.00
01/02/201114/02/201128/02/2011Special Cash DividendUSD0.02
22/01/201102/02/201108/03/2011Cash DividendUSD0.00
21/12/201004/01/201108/02/2011Cash DividendUSD0.00
02/12/201007/12/201001/03/2011Special Cash DividendUSD0.11
17/11/201002/12/201010/01/2011Cash DividendUSD0.00
19/10/201003/11/201008/12/2010Cash DividendUSD0.00
14/09/201004/10/201008/11/2010Cash DividendUSD0.00
18/08/201002/09/201008/10/2010Cash DividendUSD0.00
21/07/201003/08/201009/09/2010Cash DividendUSD0.00
24/06/201002/07/201009/08/2010Cash DividendUSD0.00
17/06/201029/06/201026/07/2010Special Cash DividendUSD0.03
19/05/201002/06/201009/07/2010Cash DividendUSD0.00
20/04/201004/05/201008/06/2010Cash DividendUSD0.00
17/03/201005/04/201007/05/2010Cash DividendUSD0.00
19/02/201002/03/201009/04/2010Cash DividendUSD0.00
29/01/201011/02/201017/03/2010Special Cash DividendUSD0.00
24/12/200902/02/2010-Cash DividendUSD0.00
22/12/200905/01/201008/02/2010Cash DividendUSD0.00
23/11/200907/12/200916/03/2010Special Cash DividendUSD0.08
23/11/200902/12/200911/01/2010Cash DividendUSD0.00
23/10/200904/11/200908/12/2009Cash DividendUSD0.00
21/09/200902/10/200909/11/2009Cash DividendUSD0.00
24/08/200902/09/200907/10/2009Cash DividendUSD0.00
28/07/200904/08/200908/09/2009Cash DividendUSD0.00
18/06/200906/07/200924/07/2009Special Cash DividendUSD0.02
23/06/200901/07/200907/08/2009Cash DividendUSD0.00
27/05/200902/06/200907/07/2009Cash DividendUSD0.00
27/04/200905/05/200905/06/2009Cash DividendUSD0.00
23/03/200902/04/200908/05/2009Cash DividendUSD0.00
23/02/200903/03/200907/04/2009Cash DividendUSD0.00
23/01/200903/02/200906/03/2009Cash DividendUSD0.00
25/12/200805/01/200906/02/2009Cash DividendUSD0.00
25/11/200809/12/200813/03/2009Special Cash DividendUSD0.07
24/11/200802/12/200808/01/2009Cash DividendUSD0.00
27/10/200804/11/200805/12/2008Cash DividendUSD0.00
23/09/200802/10/200807/11/2008Cash DividendUSD0.00
25/08/200802/09/200807/10/2008Cash DividendUSD0.00
24/07/200804/08/200805/09/2008Cash DividendUSD0.00
16/06/200802/07/200807/08/2008Cash DividendUSD0.00
28/05/200803/06/200808/07/2008Cash DividendUSD0.00
23/04/200805/05/200806/06/2008Cash DividendUSD0.00
20/03/200802/04/200808/05/2008Cash DividendUSD0.00
24/01/200804/03/2008-Cash DividendUSD0.00
20/02/200804/03/200825/03/2008Special Cash DividendUSD0.04
23/01/200806/02/200807/03/2008Cash DividendUSD0.00
14/12/200703/01/200807/02/2008Special Cash DividendUSD0.00
13/12/200702/01/200824/03/2008Cash DividendUSD0.05
23/11/200704/12/200708/01/2008Cash DividendUSD0.00
14/11/200704/12/200708/01/2008Special Cash DividendUSD0.00
24/10/200705/11/200707/12/2007Cash DividendUSD0.00
16/10/200705/11/200707/12/2007Special Cash DividendUSD0.00
21/09/200702/10/200706/11/2007Cash DividendUSD0.00
12/09/200702/10/200706/11/2007Special Cash DividendUSD0.00
24/08/200704/09/200705/10/2007Cash DividendUSD0.00
15/08/200704/09/200705/10/2007Special Cash DividendUSD0.00
20/07/200730/07/200710/09/2007Cash DividendUSD0.00
10/07/200730/07/200710/09/2007Special Cash DividendUSD0.00
22/06/200728/06/200707/08/2007Special Cash DividendUSD0.00
13/06/200725/06/200727/07/2007Cash DividendUSD0.02
23/05/200730/05/200709/07/2007Cash DividendUSD0.00
10/05/200730/05/200709/07/2007Special Cash DividendUSD0.00
23/04/200730/04/200706/06/2007Cash DividendUSD0.00
10/04/200730/04/200706/06/2007Special Cash DividendUSD0.00
23/03/200704/04/200708/05/2007Cash DividendUSD0.00
15/03/200704/04/200708/05/2007Special Cash DividendUSD0.00
22/02/200701/03/200721/03/2007Cash DividendUSD0.00
09/02/200701/03/200721/03/2007Special Cash DividendUSD0.00
09/02/200727/02/200706/04/2007Cash DividendUSD0.00
07/02/200727/02/200706/04/2007Special Cash DividendUSD0.00
24/01/200730/01/200707/03/2007Cash DividendUSD0.00
10/01/200730/01/200707/03/2007Special Cash DividendUSD0.00
28/12/200603/01/200707/02/2007Cash DividendUSD0.00
14/12/200603/01/200707/02/2007Special Cash DividendUSD0.00
27/11/200604/12/200609/01/2007Cash DividendUSD0.00
14/11/200604/12/200609/01/2007Special Cash DividendUSD0.00
25/09/200610/11/200613/11/2006Special Cash DividendUSD0.02
27/10/200601/11/200607/12/2006Cash DividendUSD0.00
24/08/200603/10/2006-Cash DividendUSD0.03
21/09/200603/10/200613/12/2006Special Cash DividendUSD0.04
15/09/200628/09/200606/11/2006Cash DividendUSD0.00
08/09/200628/09/200606/11/2006Special Cash DividendUSD0.00
17/08/200630/08/200605/10/2006Cash DividendUSD0.00
10/08/200630/08/200605/10/2006Special Cash DividendUSD0.00
19/07/200628/07/200607/09/2006Cash DividendUSD0.00
08/07/200628/07/200607/09/2006Special Cash DividendUSD0.00
14/06/200629/06/200607/08/2006Cash DividendUSD0.00
09/06/200629/06/200607/08/2006Special Cash DividendUSD0.00
19/06/200628/06/200626/07/2006Cash DividendUSD0.02
22/05/200630/05/200610/07/2006Cash DividendUSD0.00
10/05/200630/05/200610/07/2006Special Cash DividendUSD0.00
18/04/200628/04/200607/06/2006Cash DividendUSD0.00
08/04/200628/04/200607/06/2006Special Cash DividendUSD0.00
16/03/200630/03/200608/05/2006Cash DividendUSD0.00
10/03/200630/03/200608/05/2006Special Cash DividendUSD0.00
23/02/200602/03/200607/07/2006Cash DividendUSD0.02
15/02/200627/02/200607/04/2006Cash DividendUSD0.00
07/02/200627/02/200607/04/2006Special Cash DividendUSD0.00
17/01/200630/01/200607/03/2006Cash DividendUSD0.00
10/01/200630/01/200607/03/2006Special Cash DividendUSD0.00
01/02/200629/12/200507/02/2006Cash DividendUSD0.00
09/12/200529/12/200507/02/2006Special Cash DividendUSD0.00
21/11/200507/12/200506/01/2006Cash DividendUSD0.00
17/11/200507/12/200506/01/2006Special Cash DividendUSD0.00
29/09/200508/11/2005-Cash DividendUSD0.04
16/09/200528/10/200507/12/2005Cash DividendUSD0.00
04/11/200529/09/200510/11/2005Cash DividendUSD0.00
05/10/200530/08/200511/10/2005Cash DividendUSD0.00
05/08/200528/07/200509/08/2005Cash DividendUSD0.00
20/05/200529/06/200509/08/2005Cash DividendUSD0.00
26/07/200527/06/200529/07/2005Cash DividendUSD0.01
07/07/200527/05/200513/07/2005Cash DividendUSD0.00
03/06/200528/04/200509/06/2005Cash DividendUSD0.00
02/05/200530/03/200510/05/2005Cash DividendUSD0.00
05/04/200525/02/200511/04/2005Cash DividendUSD0.00
17/12/200428/01/2005-Cash DividendUSD0.00
-28/01/2005-Special Cash DividendUSD0.00
02/02/200530/12/200409/02/2005Cash DividendUSD0.00
21/10/200402/12/200424/02/2005Cash DividendUSD0.03
-02/12/200424/02/2005Special Cash DividendUSD0.03
20/10/200429/11/2004-Cash DividendUSD0.00
16/09/200428/10/200409/12/2004Cash DividendUSD0.00
20/08/200429/09/200410/11/2004Cash DividendUSD0.00
21/07/200430/08/200408/10/2004Cash DividendUSD0.00
17/06/200429/07/200413/09/2004Cash DividendUSD0.00
20/05/200429/06/200411/08/2004Cash DividendUSD0.00
19/05/200428/06/200410/08/2004Cash DividendUSD0.00
15/04/200427/05/200413/07/2004Cash DividendUSD0.00
-27/05/200413/07/2004Special Cash DividendUSD0.00
18/03/200429/04/200409/06/2004Cash DividendUSD0.00
19/02/200430/03/200412/05/2004Cash DividendUSD0.00
15/01/200426/02/200408/04/2004Cash DividendUSD0.00
31/12/200309/02/200409/03/2004Cash DividendUSD0.00
20/11/200330/12/200309/02/2004Cash DividendUSD0.00
-30/12/200309/02/2004Special Cash DividendUSD0.00
24/10/200303/12/200317/03/2004Cash DividendUSD0.01
-03/12/2003-Special Cash DividendUSD0.01
17/10/200326/11/200309/01/2004Cash DividendUSD0.00
18/09/200330/10/200305/12/2003Cash DividendUSD0.00
20/08/200329/09/200310/11/2003Cash DividendUSD0.00
17/07/200328/08/200309/10/2003Cash DividendUSD0.00
-28/08/2003-Special Cash DividendUSD0.00
20/06/200330/07/200309/09/2003Cash DividendUSD0.00
16/05/200327/06/200311/08/2003Cash DividendUSD0.00
15/05/200326/06/200312/08/2003Cash DividendUSD0.00
-26/06/2003-Special Cash DividendUSD0.00
17/04/200329/05/200310/07/2003Cash DividendUSD0.00
21/03/200330/04/200310/06/2003Cash DividendUSD0.00
-30/04/2003-Special Cash DividendUSD0.00
14/02/200328/03/200313/05/2003Cash DividendUSD0.00
-28/03/200313/05/2003Special Cash DividendUSD0.00
22/01/200303/03/200310/04/2003Cash DividendUSD0.00
16/01/200325/02/200324/02/2003Cash DividendUSD0.00
19/12/200230/01/200314/03/2003Cash DividendUSD0.00
-30/01/2003-Special Cash DividendUSD0.00
20/11/200230/12/200203/02/2003Cash DividendUSD0.01
-30/12/2002-Special Cash DividendUSD0.00
18/10/200227/11/200213/01/2003Cash DividendUSD0.00
-27/11/200213/01/2003Special Cash DividendUSD0.00
20/09/200230/10/200211/12/2002Cash DividendUSD0.00
16/08/200227/09/200212/11/2002Cash DividendUSD0.00
18/07/200229/08/200211/10/2002Cash DividendUSD0.00
20/06/200230/07/200212/09/2002Cash DividendUSD0.00
17/05/200226/06/2002-Cash DividendUSD0.00
-26/06/2002-Special Cash DividendUSD0.00
18/04/200230/05/200210/07/2002Cash DividendUSD0.00
21/03/200230/04/200214/06/2002Cash DividendUSD0.00
15/02/200227/03/200214/05/2002Cash DividendUSD0.00
18/01/200227/02/200210/04/2002Cash DividendUSD0.00
16/11/200128/12/200108/02/2002Cash DividendUSD0.00
25/10/200104/12/200125/03/2002Cash DividendUSD0.00
-04/12/200125/03/2002Special Cash DividendUSD0.00
18/10/200129/11/200109/01/2002Cash DividendUSD0.00
Stock Splits
Ex DateSplit FromSplit ToAdjustment Factor
19/04/2022--1.10
19/04/2021--1.10
14/04/2020--1.10
01/04/2019--1.20
02/04/2018--1.10
02/05/2017--1.10
18/04/2016--1.10
27/03/2015--1.20
26/03/2013--1.10
14/07/201010.000011.00001.10
20/01/2010--1.10
16/04/20082.00003.00001.50
03/04/20071.00002.00002.00
02/12/20051.00002.00002.00
22/12/20041.00003.00003.00
22/03/20042.00001.00000.50
21/11/20015.00001.00000.20
© Copyright 2024 Morningstar, Inc. All rights reserved.

Terms of Use        Privacy Policy        Modern Slavery Statement        Cookie Settings        Disclosures