Morningstar® Stock Report™

Fidelity National Information Services Inc FIS

Historical Dividends
Fecha declaradaEx DatePayment DateTipo de activoDivisaMonto
25/04/202410/06/202424/06/2024Cash DividendUSD0.36
25/02/202407/03/202422/03/2024Cash DividendUSD0.36
19/10/202307/12/202322/12/2023Cash DividendUSD0.52
20/07/202307/09/202322/09/2023Cash DividendUSD0.52
20/04/202308/06/202323/06/2023Cash DividendUSD0.52
26/01/202309/03/202324/03/2023Cash DividendUSD0.52
20/10/202208/12/202223/12/2022Cash DividendUSD0.47
21/07/202215/09/202230/09/2022Cash DividendUSD0.47
21/04/202209/06/202224/06/2022Cash DividendUSD0.47
27/01/202210/03/202225/03/2022Cash DividendUSD0.47
21/10/202110/12/202127/12/2021Cash DividendUSD0.39
22/07/202109/09/202124/09/2021Cash DividendUSD0.39
30/04/202110/06/202125/06/2021Cash DividendUSD0.39
01/02/202111/03/202126/03/2021Cash DividendUSD0.39
22/10/202011/12/202028/12/2020Cash DividendUSD0.35
27/07/202010/09/202025/09/2020Cash DividendUSD0.35
24/04/202011/06/202026/06/2020Cash DividendUSD0.35
30/01/202012/03/202027/03/2020Cash DividendUSD0.35
24/10/201912/12/201927/12/2019Cash DividendUSD0.35
25/07/201912/09/201927/09/2019Cash DividendUSD0.35
23/04/201913/06/201928/06/2019Cash DividendUSD0.35
31/01/201914/03/201929/03/2019Cash DividendUSD0.35
25/10/201813/12/201828/12/2018Cash DividendUSD0.32
26/07/201813/09/201828/09/2018Cash DividendUSD0.32
25/04/201814/06/201829/06/2018Cash DividendUSD0.32
01/02/201815/03/201830/03/2018Cash DividendUSD0.32
27/10/201714/12/201729/12/2017Cash DividendUSD0.29
24/07/201714/09/201729/09/2017Cash DividendUSD0.29
27/04/201714/06/201730/06/2017Cash DividendUSD0.29
25/01/201715/03/201731/03/2017Cash DividendUSD0.29
26/10/201614/12/201630/12/2016Cash DividendUSD0.26
25/07/201614/09/201630/09/2016Cash DividendUSD0.26
29/04/201614/06/201630/06/2016Cash DividendUSD0.26
27/01/201615/03/201631/03/2016Cash DividendUSD0.26
28/10/201514/12/201530/12/2015Cash DividendUSD0.26
21/07/201514/09/201530/09/2015Cash DividendUSD0.26
30/04/201512/06/201530/06/2015Cash DividendUSD0.26
30/01/201513/03/201531/03/2015Cash DividendUSD0.26
29/10/201412/12/201430/12/2014Cash DividendUSD0.24
22/07/201412/09/201430/09/2014Cash DividendUSD0.24
30/04/201412/06/201430/06/2014Cash DividendUSD0.24
29/01/201413/03/201431/03/2014Cash DividendUSD0.24
22/10/201312/12/201330/12/2013Cash DividendUSD0.22
23/07/201312/09/201330/09/2013Cash DividendUSD0.22
23/04/201312/06/201328/06/2013Cash DividendUSD0.22
12/02/201313/03/201329/03/2013Cash DividendUSD0.22
02/11/201212/12/201228/12/2012Cash DividendUSD0.20
18/07/201212/09/201228/09/2012Cash DividendUSD0.20
26/04/201213/06/201229/06/2012Cash DividendUSD0.20
14/02/201214/03/201230/03/2012Cash DividendUSD0.20
19/10/201114/12/201130/12/2011Cash DividendUSD0.05
20/07/201114/09/201130/09/2011Cash DividendUSD0.05
27/04/201114/06/201130/06/2011Cash DividendUSD0.05
27/01/201115/03/201131/03/2011Cash DividendUSD0.05
21/10/201015/12/201031/12/2010Cash DividendUSD0.05
21/07/201014/09/201030/09/2010Cash DividendUSD0.05
21/04/201014/06/201030/06/2010Cash DividendUSD0.05
08/02/201012/03/201030/03/2010Cash DividendUSD0.05
21/10/200914/12/200930/12/2009Cash DividendUSD0.05
22/07/200914/09/200930/09/2009Cash DividendUSD0.05
30/04/200912/06/200930/06/2009Cash DividendUSD0.05
11/02/200912/03/200930/03/2009Cash DividendUSD0.05
22/10/200811/12/200829/12/2008Cash DividendUSD0.05
24/07/200811/09/200829/09/2008Cash DividendUSD0.05
17/04/200811/06/200827/06/2008Cash DividendUSD0.05
13/02/200811/03/200827/03/2008Cash DividendUSD0.05
23/10/200711/12/200727/12/2007Cash DividendUSD0.05
24/07/200711/09/200727/09/2007Cash DividendUSD0.05
01/05/200712/06/200728/06/2007Cash DividendUSD0.05
06/03/200712/03/200728/03/2007Cash DividendUSD0.05
25/10/200612/12/200627/12/2006Cash DividendUSD0.05
19/07/200612/09/200627/09/2006Cash DividendUSD0.05
26/04/200613/06/200629/06/2006Cash DividendUSD0.05
08/03/200616/03/200630/03/2006Cash DividendUSD0.05
31/01/200601/02/200601/02/2006Special Cash DividendUSD3.75
15/11/200528/12/200515/01/2006Cash DividendUSD0.05
26/08/200528/09/200515/10/2005Cash DividendUSD0.05
27/05/200529/06/200515/07/2005Cash DividendUSD0.05
18/02/200530/03/200515/04/2005Cash DividendUSD0.05
08/11/200429/12/200415/01/2005Cash DividendUSD0.05
05/08/200429/09/200415/10/2004Cash DividendUSD0.05
13/05/200429/06/200415/07/2004Cash DividendUSD0.05
19/02/200430/03/200415/04/2004Cash DividendUSD0.05
07/11/200329/12/200315/01/2004Cash DividendUSD0.05
05/08/200329/09/200315/10/2003Cash DividendUSD0.05
© Copyright 2024 Morningstar, Inc. All rights reserved.

Terms of Use        Privacy Policy        Modern Slavery Statement        Cookie Settings        Disclosures