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Morningstar® Stock Report™
Cotización @CompanyName @Ticker | Morningstar
Nordstrom Inc
JWN
Cotización
Gráficos
Cuentas Financieras
Principales Ratios
Prospectos
Cuenta de Resultados
Balance
Cash Flow
Dividendos
(Start of Section)
Historical Dividends
Fecha declarada
Ex Date
Payment Date
Tipo de activo
Divisa
Monto
28/02/2024
11/03/2024
27/03/2024
Cash Dividend
USD
0.19
15/11/2023
27/11/2023
13/12/2023
Cash Dividend
USD
0.19
16/08/2023
28/08/2023
13/09/2023
Cash Dividend
USD
0.19
17/05/2023
26/05/2023
14/06/2023
Cash Dividend
USD
0.19
28/02/2023
13/03/2023
29/03/2023
Cash Dividend
USD
0.19
16/11/2022
28/11/2022
14/12/2022
Cash Dividend
USD
0.19
17/08/2022
29/08/2022
14/09/2022
Cash Dividend
USD
0.19
18/05/2022
27/05/2022
15/06/2022
Cash Dividend
USD
0.19
16/03/2022
25/03/2022
13/04/2022
Cash Dividend
USD
0.19
27/02/2020
09/03/2020
25/03/2020
Cash Dividend
USD
0.37
21/11/2019
27/11/2019
16/12/2019
Cash Dividend
USD
0.37
20/08/2019
29/08/2019
16/09/2019
Cash Dividend
USD
0.37
23/05/2019
31/05/2019
18/06/2019
Cash Dividend
USD
0.37
27/02/2019
08/03/2019
26/03/2019
Cash Dividend
USD
0.37
14/11/2018
23/11/2018
11/12/2018
Cash Dividend
USD
0.37
22/08/2018
31/08/2018
19/09/2018
Cash Dividend
USD
0.37
08/05/2018
17/05/2018
04/06/2018
Cash Dividend
USD
0.37
21/02/2018
02/03/2018
20/03/2018
Cash Dividend
USD
0.37
16/11/2017
24/11/2017
12/12/2017
Cash Dividend
USD
0.37
17/08/2017
24/08/2017
12/09/2017
Cash Dividend
USD
0.37
17/05/2017
24/05/2017
12/06/2017
Cash Dividend
USD
0.37
16/02/2017
27/02/2017
15/03/2017
Cash Dividend
USD
0.37
16/11/2016
23/11/2016
13/12/2016
Cash Dividend
USD
0.37
17/08/2016
25/08/2016
13/09/2016
Cash Dividend
USD
0.37
19/05/2016
26/05/2016
15/06/2016
Cash Dividend
USD
0.37
24/02/2016
03/03/2016
22/03/2016
Cash Dividend
USD
0.37
18/11/2015
25/11/2015
15/12/2015
Cash Dividend
USD
0.37
01/10/2015
07/10/2015
27/10/2015
Special Cash Dividend
USD
4.85
19/08/2015
27/08/2015
15/09/2015
Cash Dividend
USD
0.37
05/05/2015
27/05/2015
12/06/2015
Cash Dividend
USD
0.37
16/02/2015
25/02/2015
13/03/2015
Cash Dividend
USD
0.37
19/11/2014
26/11/2014
15/12/2014
Cash Dividend
USD
0.33
20/08/2014
28/08/2014
17/09/2014
Cash Dividend
USD
0.33
07/05/2014
28/05/2014
13/06/2014
Cash Dividend
USD
0.33
26/02/2014
06/03/2014
25/03/2014
Cash Dividend
USD
0.33
20/11/2013
27/11/2013
16/12/2013
Cash Dividend
USD
0.30
21/08/2013
29/08/2013
16/09/2013
Cash Dividend
USD
0.30
14/05/2013
29/05/2013
17/06/2013
Cash Dividend
USD
0.30
27/02/2013
07/03/2013
22/03/2013
Cash Dividend
USD
0.30
14/11/2012
28/11/2012
14/12/2012
Cash Dividend
USD
0.27
24/08/2012
30/08/2012
17/09/2012
Cash Dividend
USD
0.27
11/05/2012
29/05/2012
15/06/2012
Cash Dividend
USD
0.27
18/02/2012
28/02/2012
15/03/2012
Cash Dividend
USD
0.27
19/11/2011
28/11/2011
15/12/2011
Cash Dividend
USD
0.23
26/08/2011
01/09/2011
15/09/2011
Cash Dividend
USD
0.23
13/05/2011
26/05/2011
15/06/2011
Cash Dividend
USD
0.23
24/02/2011
02/03/2011
15/03/2011
Cash Dividend
USD
0.23
19/11/2010
26/11/2010
15/12/2010
Cash Dividend
USD
0.20
20/08/2010
27/08/2010
15/09/2010
Cash Dividend
USD
0.20
19/05/2010
26/05/2010
15/06/2010
Cash Dividend
USD
0.20
22/02/2010
24/02/2010
15/03/2010
Cash Dividend
USD
0.16
19/11/2009
25/11/2009
15/12/2009
Cash Dividend
USD
0.16
19/08/2009
27/08/2009
15/09/2009
Cash Dividend
USD
0.16
20/05/2009
27/05/2009
15/06/2009
Cash Dividend
USD
0.16
18/02/2009
25/02/2009
16/03/2009
Cash Dividend
USD
0.16
20/11/2008
25/11/2008
15/12/2008
Cash Dividend
USD
0.16
20/08/2008
27/08/2008
15/09/2008
Cash Dividend
USD
0.16
20/05/2008
28/05/2008
16/06/2008
Cash Dividend
USD
0.16
20/02/2008
27/02/2008
14/03/2008
Cash Dividend
USD
0.16
14/11/2007
28/11/2007
14/12/2007
Cash Dividend
USD
0.14
21/08/2007
29/08/2007
14/09/2007
Cash Dividend
USD
0.14
21/05/2007
29/05/2007
15/06/2007
Cash Dividend
USD
0.14
20/02/2007
26/02/2007
15/03/2007
Cash Dividend
USD
0.14
15/11/2006
28/11/2006
15/12/2006
Cash Dividend
USD
0.11
22/08/2006
29/08/2006
15/09/2006
Cash Dividend
USD
0.11
18/05/2006
26/05/2006
15/06/2006
Cash Dividend
USD
0.11
22/02/2006
24/02/2006
15/03/2006
Cash Dividend
USD
0.11
17/11/2005
28/11/2005
15/12/2005
Cash Dividend
USD
0.09
17/08/2005
29/08/2005
15/09/2005
Cash Dividend
USD
0.09
18/05/2005
26/05/2005
15/06/2005
Cash Dividend
USD
0.09
13/01/2005
24/02/2005
15/03/2005
Cash Dividend
USD
0.07
17/11/2004
26/11/2004
15/12/2004
Cash Dividend
USD
0.07
16/08/2004
27/08/2004
15/09/2004
Cash Dividend
USD
0.07
18/05/2004
26/05/2004
15/06/2004
Cash Dividend
USD
0.06
24/02/2004
25/02/2004
15/03/2004
Cash Dividend
USD
0.06
18/11/2003
25/11/2003
15/12/2003
Cash Dividend
USD
0.06
19/08/2003
27/08/2003
15/09/2003
Cash Dividend
USD
0.05
20/05/2003
28/05/2003
16/06/2003
Cash Dividend
USD
0.05
18/02/2003
26/02/2003
14/03/2003
Cash Dividend
USD
0.05
18/11/2002
26/11/2002
16/12/2002
Cash Dividend
USD
0.05
20/08/2002
28/08/2002
16/09/2002
Cash Dividend
USD
0.05
21/05/2002
29/05/2002
14/06/2002
Cash Dividend
USD
0.05
26/02/2002
26/02/2002
15/03/2002
Cash Dividend
USD
0.05
20/11/2001
28/11/2001
14/12/2001
Cash Dividend
USD
0.05
21/08/2001
29/08/2001
14/09/2001
Cash Dividend
USD
0.05
15/05/2001
29/05/2001
15/06/2001
Cash Dividend
USD
0.05
21/02/2001
26/02/2001
15/03/2001
Cash Dividend
USD
0.05
21/11/2000
28/11/2000
15/12/2000
Cash Dividend
USD
0.05
15/08/2000
29/08/2000
15/09/2000
Cash Dividend
USD
0.05
16/05/2000
26/05/2000
15/06/2000
Cash Dividend
USD
0.05
17/02/2000
25/02/2000
15/03/2000
Cash Dividend
USD
0.04
16/11/1999
26/11/1999
15/12/1999
Cash Dividend
USD
0.04
16/07/1999
25/08/1999
-
Cash Dividend
USD
0.04
18/05/1999
26/05/1999
15/06/1999
Cash Dividend
USD
0.04
16/02/1999
24/02/1999
15/03/1999
Cash Dividend
USD
0.04
17/11/1998
25/11/1998
15/12/1998
Cash Dividend
USD
0.04
20/08/1998
27/08/1998
15/09/1998
Cash Dividend
USD
0.04
19/05/1998
28/05/1998
15/06/1998
Cash Dividend
USD
0.04
17/02/1998
25/02/1998
16/03/1998
Cash Dividend
USD
0.04
18/11/1997
25/11/1997
15/12/1997
Cash Dividend
USD
0.04
19/08/1997
27/08/1997
15/09/1997
Cash Dividend
USD
0.04
20/05/1997
29/05/1997
16/06/1997
Cash Dividend
USD
0.03
18/02/1997
26/02/1997
14/03/1997
Cash Dividend
USD
0.03
06/11/1996
26/11/1996
16/12/1996
Cash Dividend
USD
0.03
20/08/1996
28/08/1996
16/09/1996
Cash Dividend
USD
0.03
21/05/1996
29/05/1996
14/06/1996
Cash Dividend
USD
0.03
20/02/1996
28/02/1996
15/03/1996
Cash Dividend
USD
0.03
09/11/1995
29/11/1995
15/12/1995
Cash Dividend
USD
0.03
09/08/1995
29/08/1995
15/09/1995
Cash Dividend
USD
0.03
16/05/1995
24/05/1995
15/06/1995
Cash Dividend
USD
0.03
21/02/1995
27/02/1995
15/03/1995
Cash Dividend
USD
0.03
15/11/1994
23/11/1994
15/12/1994
Cash Dividend
USD
0.03
16/08/1994
25/08/1994
15/09/1994
Cash Dividend
USD
0.03
18/05/1994
24/05/1994
15/06/1994
Cash Dividend
USD
0.03
15/02/1994
22/02/1994
15/03/1994
Cash Dividend
USD
0.02
16/11/1993
23/11/1993
15/12/1993
Cash Dividend
USD
0.02
17/08/1993
25/08/1993
15/09/1993
Cash Dividend
USD
0.02
17/05/1993
24/05/1993
15/06/1993
Cash Dividend
USD
0.02
16/02/1993
23/02/1993
15/03/1993
Cash Dividend
USD
0.02
17/11/1992
23/11/1992
15/12/1992
Cash Dividend
USD
0.02
18/08/1992
25/08/1992
15/09/1992
Cash Dividend
USD
0.02
19/05/1992
26/05/1992
15/06/1992
Cash Dividend
USD
0.02
18/02/1992
25/02/1992
16/03/1992
Cash Dividend
USD
0.02
19/11/1991
25/11/1991
16/12/1991
Cash Dividend
USD
0.02
20/08/1991
27/08/1991
16/09/1991
Cash Dividend
USD
0.02
20/05/1991
28/05/1991
14/06/1991
Cash Dividend
USD
0.02
19/02/1991
27/02/1991
15/03/1991
Cash Dividend
USD
0.02
20/11/1990
27/11/1990
14/12/1990
Cash Dividend
USD
0.02
16/08/1990
27/08/1990
14/09/1990
Cash Dividend
USD
0.02
15/05/1990
24/05/1990
15/06/1990
Cash Dividend
USD
0.02
20/02/1990
27/02/1990
15/03/1990
Cash Dividend
USD
0.02
21/11/1989
27/11/1989
15/12/1989
Cash Dividend
USD
0.02
15/08/1989
25/08/1989
15/09/1989
Cash Dividend
USD
0.02
16/05/1989
24/05/1989
15/06/1989
Cash Dividend
USD
0.02
21/02/1989
28/02/1989
15/03/1989
Cash Dividend
USD
0.02
15/11/1988
23/11/1988
15/12/1988
Cash Dividend
USD
0.01
16/08/1988
25/08/1988
15/09/1988
Cash Dividend
USD
0.01
17/05/1988
24/05/1988
15/06/1988
Cash Dividend
USD
0.01
16/02/1988
23/02/1988
15/03/1988
Cash Dividend
USD
0.01
17/11/1987
23/11/1987
15/12/1987
Cash Dividend
USD
0.01
18/08/1987
25/08/1987
15/09/1987
Cash Dividend
USD
0.01
19/05/1987
26/05/1987
15/06/1987
Cash Dividend
USD
0.01
17/02/1987
24/02/1987
16/03/1987
Cash Dividend
USD
0.01
18/11/1986
24/11/1986
15/12/1986
Cash Dividend
USD
0.01
19/08/1986
26/08/1986
15/09/1986
Cash Dividend
USD
0.01
20/05/1986
30/05/1986
16/06/1986
Cash Dividend
USD
0.01
18/02/1986
25/02/1986
14/03/1986
Cash Dividend
USD
0.01
(End of Section)
(Start of Section)
Stock Splits
Ex Date
Split From
Split To
Adjustment Factor
01/07/2005
1.0000
2.0000
2.00
01/07/1998
1.0000
2.0000
2.00
01/07/1987
1.0000
2.0000
2.00
17/06/1986
1.0000
2.0000
2.00
16/06/1983
1.0000
2.0000
2.00
11/09/1978
2.0000
3.0000
1.50
23/02/1976
1.0000
2.0000
2.00
(End of Section)