Morningstar® Stock Report™

Duke Energy Corp DUK

Historical Dividends
Fecha declaradaEx DatePayment DateTipo de activoDivisaMonto
11/01/202415/02/202418/03/2024Cash DividendUSD1.03
23/10/202316/11/202318/12/2023Cash DividendUSD1.03
13/07/202317/08/202318/09/2023Cash DividendUSD1.03
04/05/202311/05/202316/06/2023Cash DividendUSD1.01
04/01/202316/02/202316/03/2023Cash DividendUSD1.01
26/10/202217/11/202216/12/2022Cash DividendUSD1.01
13/07/202211/08/202216/09/2022Cash DividendUSD1.01
05/05/202212/05/202216/06/2022Cash DividendUSD0.99
04/01/202217/02/202216/03/2022Cash DividendUSD0.99
25/10/202110/11/202116/12/2021Cash DividendUSD0.99
12/07/202112/08/202116/09/2021Cash DividendUSD0.99
06/05/202113/05/202116/06/2021Cash DividendUSD0.97
04/01/202111/02/202116/03/2021Cash DividendUSD0.97
23/10/202012/11/202016/12/2020Cash DividendUSD0.97
06/07/202013/08/202016/09/2020Cash DividendUSD0.97
07/05/202014/05/202016/06/2020Cash DividendUSD0.95
03/01/202013/02/202016/03/2020Cash DividendUSD0.95
25/10/201914/11/201916/12/2019Cash DividendUSD0.95
08/07/201915/08/201916/09/2019Cash DividendUSD0.95
02/05/201916/05/201917/06/2019Cash DividendUSD0.93
04/01/201914/02/201918/03/2019Cash DividendUSD0.93
26/10/201815/11/201817/12/2018Cash DividendUSD0.93
06/07/201816/08/201817/09/2018Cash DividendUSD0.93
03/05/201817/05/201818/06/2018Cash DividendUSD0.89
05/01/201815/02/201816/03/2018Cash DividendUSD0.89
27/10/201716/11/201718/12/2017Cash DividendUSD0.89
07/07/201716/08/201718/09/2017Cash DividendUSD0.89
05/05/201717/05/201716/06/2017Cash DividendUSD0.86
04/01/201715/02/201716/03/2017Cash DividendUSD0.86
28/10/201616/11/201616/12/2016Cash DividendUSD0.86
11/07/201610/08/201616/09/2016Cash DividendUSD0.86
05/05/201618/05/201616/06/2016Cash DividendUSD0.83
04/01/201610/02/201616/03/2016Cash DividendUSD0.83
29/10/201510/11/201516/12/2015Cash DividendUSD0.83
07/07/201512/08/201516/09/2015Cash DividendUSD0.83
07/05/201513/05/201516/06/2015Cash DividendUSD0.80
02/01/201511/02/201516/03/2015Cash DividendUSD0.80
29/10/201412/11/201416/12/2014Cash DividendUSD0.80
01/07/201413/08/201416/09/2014Cash DividendUSD0.80
01/05/201414/05/201416/06/2014Cash DividendUSD0.78
03/01/201412/02/201417/03/2014Cash DividendUSD0.78
22/10/201313/11/201316/12/2013Cash DividendUSD0.78
25/06/201314/08/201316/09/2013Cash DividendUSD0.78
02/05/201315/05/201317/06/2013Cash DividendUSD0.77
04/01/201313/02/201318/03/2013Cash DividendUSD0.77
30/10/201214/11/201217/12/2012Cash DividendUSD0.77
27/06/201215/08/201217/09/2012Cash DividendUSD0.77
04/05/201216/05/201218/06/2012Cash DividendUSD0.75
07/01/201215/02/201216/03/2012Cash DividendUSD0.75
26/10/201116/11/201116/12/2011Cash DividendUSD0.75
22/06/201110/08/201116/09/2011Cash DividendUSD0.75
06/05/201118/05/201116/06/2011Cash DividendUSD0.74
07/01/201109/02/201116/03/2011Cash DividendUSD0.74
27/10/201009/11/201016/12/2010Cash DividendUSD0.74
23/06/201011/08/201016/09/2010Cash DividendUSD0.74
07/05/201019/05/201016/06/2010Cash DividendUSD0.72
07/01/201010/02/201016/03/2010Cash DividendUSD0.72
21/10/200910/11/200916/12/2009Cash DividendUSD0.72
24/06/200912/08/200916/09/2009Cash DividendUSD0.72
08/05/200914/05/200916/06/2009Cash DividendUSD0.69
07/01/200911/02/200916/03/2009Cash DividendUSD0.69
29/10/200812/11/200816/12/2008Cash DividendUSD0.69
25/06/200813/08/200816/09/2008Cash DividendUSD0.69
08/05/200815/05/200816/06/2008Cash DividendUSD0.66
04/01/200813/02/200817/03/2008Cash DividendUSD0.66
25/10/200714/11/200717/12/2007Cash DividendUSD0.66
26/06/200715/08/200717/09/2007Cash DividendUSD0.66
04/04/200709/05/200718/06/2007Cash DividendUSD0.63
05/01/200714/02/200715/03/2007Cash DividendUSD0.63
24/10/200615/11/200618/12/2006Cash DividendUSD0.96
28/06/200609/08/200618/09/2006Cash DividendUSD0.96
04/04/200610/05/200616/06/2006Cash DividendUSD0.93
05/01/200615/02/200616/03/2006Cash DividendUSD0.93
25/10/200509/11/200516/12/2005Cash DividendUSD0.93
29/06/200510/08/200516/09/2005Cash DividendUSD0.93
20/04/200511/05/200516/06/2005Cash DividendUSD0.83
05/01/200509/02/200516/03/2005Cash DividendUSD0.83
26/10/200409/11/200416/12/2004Cash DividendUSD0.83
22/06/200411/08/200416/09/2004Cash DividendUSD0.83
22/04/200412/05/200416/06/2004Cash DividendUSD0.83
07/01/200411/02/200416/03/2004Cash DividendUSD0.83
28/10/200312/11/200316/12/2003Cash DividendUSD0.83
24/06/200313/08/200316/09/2003Cash DividendUSD0.83
24/04/200314/05/200316/06/2003Cash DividendUSD0.83
03/01/200312/02/200317/03/2003Cash DividendUSD0.83
29/10/200213/11/200216/12/2002Cash DividendUSD0.83
27/06/200214/08/200216/09/2002Cash DividendUSD0.83
25/04/200215/05/200217/06/2002Cash DividendUSD0.83
04/01/200213/02/200215/03/2002Cash DividendUSD0.83
30/10/200114/11/200117/12/2001Cash DividendUSD0.83
26/06/200115/08/200117/09/2001Cash DividendUSD0.83
26/04/200109/05/200118/06/2001Cash DividendUSD0.83
04/01/200114/02/200116/03/2001Cash DividendUSD0.83
31/10/200015/11/200018/12/2000Cash DividendUSD0.83
29/06/200009/08/200018/09/2000Cash DividendUSD0.83
20/04/200010/05/200016/06/2000Cash DividendUSD0.83
28/01/200009/02/200016/03/2000Cash DividendUSD0.83
26/10/199909/11/199916/12/1999Cash DividendUSD0.83
16/06/199911/08/199916/09/1999Cash DividendUSD0.83
15/04/199912/05/199916/06/1999Cash DividendUSD0.83
05/01/199910/02/199916/03/1999Cash DividendUSD0.83
01/10/199810/11/199816/12/1998Cash DividendUSD0.83
17/06/199812/08/199816/09/1998Cash DividendUSD0.83
16/04/199813/05/199816/06/1998Cash DividendUSD0.83
05/01/199811/02/199816/03/1998Cash DividendUSD0.83
28/10/199712/11/199716/12/1997Cash DividendUSD0.83
28/07/199713/08/199716/09/1997Cash DividendUSD0.83
24/04/199714/05/199716/06/1997Cash DividendUSD0.80
28/01/199712/02/199717/03/1997Cash DividendUSD0.80
29/10/199613/11/199616/12/1996Cash DividendUSD0.80
29/07/199614/08/199616/09/1996Cash DividendUSD0.80
25/04/199615/05/199617/06/1996Cash DividendUSD0.77
30/01/199614/02/199618/03/1996Cash DividendUSD0.77
31/10/199515/11/199518/12/1995Cash DividendUSD0.77
24/07/199516/08/199518/09/1995Cash DividendUSD0.77
18/04/199508/05/199516/06/1995Cash DividendUSD0.74
31/01/199513/02/199516/03/1995Cash DividendUSD0.74
25/10/199414/11/199416/12/1994Cash DividendUSD0.74
25/07/199408/08/199416/09/1994Cash DividendUSD0.74
28/04/199409/05/199416/06/1994Cash DividendUSD0.71
25/01/199407/02/199416/03/1994Cash DividendUSD0.71
26/10/199305/11/199316/12/1993Cash DividendUSD0.71
26/07/199309/08/199316/09/1993Cash DividendUSD0.71
29/04/199310/05/199316/05/1993Cash DividendUSD0.68
26/01/199308/02/199316/03/1993Cash DividendUSD0.68
27/10/199206/11/199216/12/1992Cash DividendUSD0.68
27/07/199210/08/199216/09/1992Cash DividendUSD0.68
23/04/199211/05/199216/06/1992Cash DividendUSD0.65
28/01/199210/02/199216/03/1992Cash DividendUSD0.65
29/10/199108/11/199116/12/1991Cash DividendUSD0.65
29/07/199112/08/199116/09/1991Cash DividendUSD0.65
25/04/199113/05/199117/06/1991Cash DividendUSD0.62
29/01/199111/02/199118/03/1991Cash DividendUSD0.62
30/10/199009/11/199017/12/1990Cash DividendUSD0.62
30/07/199013/08/199017/09/1990Cash DividendUSD0.62
26/04/199014/05/199018/06/1990Cash DividendUSD0.59
30/01/199012/02/199016/03/1990Cash DividendUSD0.59
31/10/198913/11/198918/12/1989Cash DividendUSD0.59
24/07/198914/08/198918/09/1989Cash DividendUSD0.59
27/04/198908/05/198916/06/1989Cash DividendUSD0.56
31/01/198913/02/198916/03/1989Cash DividendUSD0.56
25/10/198814/11/198816/12/1988Cash DividendUSD0.56
18/07/198808/08/198816/09/1988Cash DividendUSD0.56
28/04/198809/05/198816/06/1988Cash DividendUSD0.53
26/01/198808/02/198816/03/1988Cash DividendUSD0.53
27/10/198706/11/198716/12/1987Cash DividendUSD0.53
20/07/198710/08/198716/09/1987Cash DividendUSD0.53
23/04/198711/05/198716/06/1987Cash DividendUSD0.50
27/01/198709/02/198716/03/1987Cash DividendUSD0.50
23/10/198607/11/198608/12/1986Cash DividendUSD0.50
21/07/198611/08/198615/09/1986Cash DividendUSD0.50
24/04/198612/05/198616/06/1986Cash DividendUSD0.49
28/01/198614/02/198617/03/1986Cash DividendUSD0.49
Stock Splits
Ex DateSplit FromSplit ToAdjustment Factor
03/07/20123.00001.00000.33
29/01/20011.00002.00002.00
01/10/19901.00002.00002.00
© Copyright 2024 Morningstar, Inc. All rights reserved.

Terms of Use        Privacy Policy        Modern Slavery Statement        Cookie Settings        Disclosures