Morningstar® Stock Report™

Nutrien Ltd NTR

Historical Dividends
Fecha declaradaEx DatePayment DateTipo de activoDivisaMonto
08/05/202428/06/202419/07/2024Cash DividendUSD0.54
21/02/202427/03/202411/04/2024Cash DividendUSD0.54
01/11/202328/12/202312/01/2024Cash DividendUSD0.53
02/08/202328/09/202313/10/2023Cash DividendUSD0.53
10/05/202329/06/202314/07/2023Cash DividendUSD0.53
15/02/202330/03/202313/04/2023Cash DividendUSD0.53
03/11/202229/12/202213/01/2023Cash DividendUSD0.48
04/08/202229/09/202214/10/2022Cash DividendUSD0.48
18/05/202229/06/202215/07/2022Cash DividendUSD0.48
16/02/202230/03/202214/04/2022Cash DividendUSD0.48
01/11/202130/12/202114/01/2022Cash DividendUSD0.46
09/08/202129/09/202115/10/2021Cash DividendUSD0.46
18/05/202129/06/202116/07/2021Cash DividendUSD0.46
18/02/202130/03/202115/04/2021Cash DividendUSD0.46
11/12/202030/12/202014/01/2021Cash DividendUSD0.45
11/08/202029/09/202016/10/2020Cash DividendUSD0.45
06/05/202029/06/202017/07/2020Cash DividendUSD0.45
20/02/202030/03/202016/04/2020Cash DividendUSD0.45
16/12/201930/12/201916/01/2020Cash DividendUSD0.45
30/07/201927/09/201917/10/2019Cash DividendUSD0.45
10/05/201927/06/201918/07/2019Cash DividendUSD0.43
14/12/201828/03/201918/04/2019Cash DividendUSD0.43
05/11/201828/12/201817/01/2019Cash DividendUSD0.43
19/07/201827/09/201819/10/2018Cash DividendUSD0.40
25/05/201828/06/201818/07/2018Cash DividendUSD0.40
20/02/201828/03/201820/04/2018Cash DividendUSD0.40
14/12/201728/12/201701/02/2018Cash DividendUSD0.25
07/09/201728/09/201701/11/2017Cash DividendUSD0.25
10/05/201728/06/201701/08/2017Cash DividendUSD0.25
25/01/201729/03/201702/05/2017Cash DividendUSD0.25
16/11/201610/01/201702/02/2017Cash DividendUSD0.25
08/09/201607/10/201602/11/2016Cash DividendUSD0.25
11/05/201608/07/201602/08/2016Cash DividendUSD0.63
28/01/201608/04/201603/05/2016Cash DividendUSD0.63
11/11/201512/01/201604/02/2016Cash DividendUSD0.95
09/09/201508/10/201503/11/2015Cash DividendUSD0.95
12/05/201508/07/201531/07/2015Cash DividendUSD0.95
29/01/201509/04/201504/05/2015Cash DividendUSD0.95
12/11/201413/01/201505/02/2015Cash DividendUSD0.88
11/09/201409/10/201404/11/2014Cash DividendUSD0.88
14/05/201409/07/201401/08/2014Cash DividendUSD0.88
29/01/201408/04/201401/05/2014Cash DividendUSD0.88
14/11/201314/01/201406/02/2014Cash DividendUSD0.88
12/09/201310/10/201305/11/2013Cash DividendUSD0.88
15/05/201310/07/201302/08/2013Cash DividendUSD0.88
31/01/201309/04/201302/05/2013Cash DividendUSD0.70
14/11/201215/01/201307/02/2013Cash DividendUSD0.53
14/09/201211/10/201205/11/2012Cash DividendUSD0.53
17/05/201211/07/201203/08/2012Cash DividendUSD0.35
26/01/201210/04/201203/05/2012Cash DividendUSD0.35
10/11/201117/01/201209/02/2012Cash DividendUSD0.18
10/09/201113/10/201107/11/2011Cash DividendUSD0.18
12/05/201113/07/201105/08/2011Cash DividendUSD0.18
27/01/201112/04/201105/05/2011Cash DividendUSD0.18
11/11/201018/01/201110/02/2011Cash DividendUSD0.08
09/09/201014/10/201008/11/2010Cash DividendUSD0.08
06/05/201014/07/201006/08/2010Cash DividendUSD0.08
28/01/201013/04/201006/05/2010Cash DividendUSD0.08
12/11/200919/01/201011/02/2010Cash DividendUSD0.08
11/09/200915/10/200909/11/2009Cash DividendUSD0.08
07/05/200915/07/200907/08/2009Cash DividendUSD0.08
22/01/200907/04/200907/05/2009Cash DividendUSD0.08
13/11/200815/01/200910/02/2009Cash DividendUSD0.08
12/09/200816/10/200810/11/2008Cash DividendUSD0.08
26/06/200816/07/200808/08/2008Cash DividendUSD0.08
23/01/200808/04/200808/05/2008Cash DividendUSD0.08
14/11/200716/01/200811/02/2008Cash DividendUSD0.08
13/09/200718/10/200712/11/2007Cash DividendUSD0.08
02/05/200718/07/200710/08/2007Cash DividendUSD0.08
24/01/200710/04/200711/05/2007Cash DividendUSD0.04
16/11/200618/01/200712/02/2007Cash DividendUSD0.04
14/09/200619/10/200613/11/2006Cash DividendUSD0.04
03/05/200619/07/200611/08/2006Cash DividendUSD0.04
24/01/200611/04/200612/05/2006Cash DividendUSD0.04
16/11/200519/01/200613/02/2006Cash DividendUSD0.04
15/09/200520/10/200514/11/2005Cash DividendUSD0.04
05/05/200520/07/200512/08/2005Cash DividendUSD0.04
04/03/200513/04/200513/05/2005Cash DividendUSD0.04
18/11/200420/01/200514/02/2005Cash DividendUSD0.04
21/07/200421/10/200415/11/2004Cash DividendUSD0.04
06/05/200421/07/200413/08/2004Cash DividendUSD0.03
05/03/200414/04/200414/05/2004Cash DividendUSD0.03
21/11/200321/01/200413/02/2004Cash DividendUSD0.03
18/09/200322/10/200314/11/2003Cash DividendUSD0.03
07/05/200323/07/200315/08/2003Cash DividendUSD0.03
28/01/200315/04/200315/05/2003Cash DividendUSD0.03
20/11/200222/01/200314/02/2003Cash DividendUSD0.03
20/09/200223/10/200215/11/2002Cash DividendUSD0.03
08/05/200223/07/200215/08/2002Cash DividendUSD0.03
08/03/200217/04/200215/05/2002Cash DividendUSD0.03
20/11/200123/01/200215/02/2002Cash DividendUSD0.03
20/09/200123/10/200115/11/2001Cash DividendUSD0.03
09/05/200123/07/200115/08/2001Cash DividendUSD0.03
22/01/200118/04/200115/05/2001Cash DividendUSD0.03
22/11/200023/01/200115/02/2001Cash DividendUSD0.03
14/09/200023/10/200015/11/2000Cash DividendUSD0.03
11/05/200021/07/200015/08/2000Cash DividendUSD0.03
24/01/200018/04/200015/05/2000Cash DividendUSD0.03
03/11/199921/01/200015/02/2000Cash DividendUSD0.03
05/08/199921/10/199915/11/1999Cash DividendUSD0.03
05/05/199921/07/199913/08/1999Cash DividendUSD0.03
26/01/199919/04/199914/05/1999Cash DividendUSD0.03
05/11/199821/01/199915/02/1999Cash DividendUSD0.03
06/08/199821/10/199813/11/1998Cash DividendUSD0.03
06/05/199822/07/199814/08/1998Cash DividendUSD0.03
02/02/199820/04/199815/05/1998Cash DividendUSD0.04
06/11/199721/01/199813/02/1998Cash DividendUSD0.03
07/08/199722/10/199714/11/1997Cash DividendUSD0.04
07/05/199723/07/199715/08/1997Cash DividendUSD0.04
28/01/199718/04/199715/05/1997Cash DividendUSD0.04
07/11/199622/01/199714/02/1997Cash DividendUSD0.04
08/08/199623/10/199615/11/1996Cash DividendUSD0.04
08/05/199623/07/199615/08/1996Cash DividendUSD0.04
30/01/199618/04/199615/05/1996Cash DividendUSD0.04
07/11/199523/01/199615/02/1996Cash DividendUSD0.04
08/08/199523/10/199515/11/1995Cash DividendUSD0.04
10/05/199521/07/199515/08/1995Cash DividendUSD0.04
24/01/199517/04/199515/05/1995Cash DividendUSD0.04
10/11/199419/01/199515/02/1995Cash DividendUSD0.04
09/08/199419/10/199415/11/1994Cash DividendUSD0.04
04/05/199419/07/199415/08/1994Cash DividendUSD0.02
26/01/199418/04/199413/05/1994Cash DividendUSD0.02
09/11/199319/01/199415/02/1994Cash DividendUSD0.02
04/08/199319/10/199315/11/1993Cash DividendUSD0.02
05/05/199319/07/199313/08/1993Cash DividendUSD0.02
28/01/199319/04/199314/05/1993Cash DividendUSD0.02
29/10/199219/01/199315/02/1993Cash DividendUSD0.02
05/08/199219/10/199213/11/1992Cash DividendUSD0.02
06/05/199220/07/199214/08/1992Cash DividendUSD0.02
29/01/199220/04/199215/05/1992Cash DividendUSD0.02
05/11/199117/01/199214/02/1992Cash DividendUSD0.02
07/08/199121/10/199115/11/1991Cash DividendUSD0.02
08/05/199119/07/199115/08/1991Cash DividendUSD0.02
30/01/199118/04/199115/05/1991Cash DividendUSD0.02
08/11/199018/01/199115/02/1991Cash DividendUSD0.02
08/08/199019/10/199015/11/1990Cash DividendUSD0.02
10/05/199019/07/199015/08/1990Cash DividendUSD0.02
07/03/199018/04/199015/05/1990Cash DividendUSD0.02
03/11/198919/01/199015/02/1990Special Cash DividendUSD0.02
Stock Splits
Ex DateSplit FromSplit ToAdjustment Factor
02/01/20181.0000.40000.40
25/02/20111.00003.00003.00
30/05/20071.00003.00003.00
18/08/20041.00002.00002.00
© Copyright 2024 Morningstar, Inc. All rights reserved.

Terms of Use        Privacy Policy        Modern Slavery Statement        Cookie Settings        Disclosures