Morningstar® Stock Report™

Portland General Electric Co POR

Historical Dividends
Fecha declaradaEx DatePayment DateTipo de activoDivisaMonto
19/04/202424/06/202415/07/2024Cash DividendUSD0.50
09/02/202421/03/202415/04/2024Cash DividendUSD0.48
20/10/202322/12/202315/01/2024Cash DividendUSD0.48
21/07/202322/09/202316/10/2023Cash DividendUSD0.48
21/04/202323/06/202317/07/2023Cash DividendUSD0.48
10/02/202324/03/202317/04/2023Cash DividendUSD0.45
21/10/202223/12/202217/01/2023Cash DividendUSD0.45
22/07/202223/09/202217/10/2022Cash DividendUSD0.45
22/04/202224/06/202215/07/2022Cash DividendUSD0.45
11/02/202224/03/202218/04/2022Cash DividendUSD0.43
26/10/202123/12/202118/01/2022Cash DividendUSD0.43
28/07/202124/09/202115/10/2021Cash DividendUSD0.43
28/04/202124/06/202115/07/2021Cash DividendUSD0.43
17/02/202124/03/202115/04/2021Cash DividendUSD0.41
29/10/202024/12/202015/01/2021Cash DividendUSD0.41
29/07/202024/09/202015/10/2020Cash DividendUSD0.41
22/04/202024/06/202015/07/2020Cash DividendUSD0.39
12/02/202024/03/202015/04/2020Cash DividendUSD0.39
30/10/201924/12/201915/01/2020Cash DividendUSD0.39
31/07/201924/09/201915/10/2019Cash DividendUSD0.39
24/04/201924/06/201915/07/2019Cash DividendUSD0.39
13/02/201922/03/201915/04/2019Cash DividendUSD0.36
25/10/201824/12/201815/01/2019Cash DividendUSD0.36
25/07/201824/09/201815/10/2018Cash DividendUSD0.36
25/04/201822/06/201816/07/2018Cash DividendUSD0.36
14/02/201823/03/201816/04/2018Cash DividendUSD0.34
27/10/201722/12/201716/01/2018Cash DividendUSD0.34
26/07/201722/09/201716/10/2017Cash DividendUSD0.34
26/04/201722/06/201717/07/2017Cash DividendUSD0.34
16/02/201723/03/201717/04/2017Cash DividendUSD0.32
26/10/201622/12/201617/01/2017Cash DividendUSD0.32
27/07/201622/09/201617/10/2016Cash DividendUSD0.32
27/04/201623/06/201615/07/2016Cash DividendUSD0.32
17/02/201622/03/201615/04/2016Cash DividendUSD0.30
22/10/201523/12/201515/01/2016Cash DividendUSD0.30
23/07/201523/09/201515/10/2015Cash DividendUSD0.30
06/05/201523/06/201515/07/2015Cash DividendUSD0.30
19/02/201523/03/201515/04/2015Cash DividendUSD0.28
23/10/201423/12/201415/01/2015Cash DividendUSD0.28
24/07/201423/09/201415/10/2014Cash DividendUSD0.28
07/05/201423/06/201415/07/2014Cash DividendUSD0.28
19/02/201421/03/201415/04/2014Cash DividendUSD0.28
30/10/201323/12/201315/01/2014Cash DividendUSD0.28
31/07/201323/09/201315/10/2013Cash DividendUSD0.28
22/05/201321/06/201315/07/2013Cash DividendUSD0.28
20/02/201321/03/201315/04/2013Cash DividendUSD0.27
07/11/201221/12/201215/01/2013Cash DividendUSD0.27
03/08/201221/09/201215/10/2012Cash DividendUSD0.27
24/05/201221/06/201216/07/2012Cash DividendUSD0.27
23/02/201222/03/201216/04/2012Cash DividendUSD0.27
27/10/201122/12/201117/01/2012Cash DividendUSD0.27
04/08/201122/09/201117/10/2011Cash DividendUSD0.27
12/05/201122/06/201115/07/2011Cash DividendUSD0.27
17/02/201123/03/201115/04/2011Cash DividendUSD0.26
28/10/201022/12/201017/01/2011Cash DividendUSD0.26
04/08/201022/09/201015/10/2010Cash DividendUSD0.26
14/05/201023/06/201015/07/2010Cash DividendUSD0.26
18/02/201023/03/201015/04/2010Cash DividendUSD0.26
30/10/200923/12/200915/01/2010Cash DividendUSD0.26
06/08/200923/09/200915/10/2009Cash DividendUSD0.26
14/05/200923/06/200915/07/2009Cash DividendUSD0.26
20/02/200923/03/200915/04/2009Cash DividendUSD0.25
31/10/200823/12/200815/01/2009Cash DividendUSD0.25
07/08/200823/09/200815/10/2008Cash DividendUSD0.25
30/07/200923/06/200815/07/2008Cash DividendUSD0.25
20/02/200820/03/200815/04/2008Cash DividendUSD0.24
25/10/200721/12/200715/01/2008Cash DividendUSD0.24
02/08/200721/09/200715/10/2007Cash DividendUSD0.24
02/05/200721/06/200716/07/2007Cash DividendUSD0.24
01/03/200722/03/200716/04/2007Cash DividendUSD0.23
26/10/200621/12/200615/01/2007Cash DividendUSD0.23
01/08/200621/09/200616/10/2006Cash DividendUSD0.23
15/05/200622/06/200617/07/2006Cash DividendUSD0.23
© Copyright 2024 Morningstar, Inc. All rights reserved.

Terms of Use        Privacy Policy        Modern Slavery Statement        Cookie Settings        Disclosures