AmerisourceBergen(ABC) USD 167.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.29%USD 0.485USD0.4852023-02-09
20221.40%USD 2.35USD0.4852022-11-11
USD0.4852022-11-10
USD0.462022-08-12
USD0.462022-05-13
USD0.462022-02-11
20211.06%USD 1.78USD0.462021-11-12
USD0.442021-08-13
USD0.442021-05-14
USD0.442021-02-11
20201.02%USD 1.7USD0.442020-11-13
USD0.422020-08-14
USD0.422020-05-15
USD0.422020-02-13
20190.96%USD 1.6USD0.42019-11-15
USD0.42019-08-16
USD0.42019-05-17
USD0.42019-02-15
20180.92%USD 1.54USD0.42018-11-16
USD0.382018-08-17
USD0.382018-05-18
USD0.382018-02-16
20170.88%USD 1.475USD0.382017-11-17
USD0.3652017-08-17
USD0.3652017-05-18
USD0.3652017-02-16
20160.83%USD 1.385USD0.3652016-11-17
USD0.342016-08-18
USD0.342016-05-19
USD0.342016-02-18
20150.72%USD 1.21USD0.342015-11-12
USD0.292015-08-13
USD0.292015-05-14
USD0.292015-02-12
20140.59%USD 0.995USD0.292014-11-13
USD0.2352014-08-14
USD0.2352014-05-15
USD0.2352014-02-13
20130.52%USD 0.865USD0.2352013-11-14
USD0.212013-08-15
USD0.212013-05-16
USD0.212013-02-13
20120.36%USD 0.6USD0.212012-11-15
USD0.132012-08-17
USD0.132012-05-17
USD0.132012-02-15
20110.27%USD 0.46USD0.132011-11-17
USD0.1152011-08-18
USD0.1152011-05-20
USD0.12011-02-16
20100.20%USD 0.34USD0.12010-11-18
USD0.082010-08-20
USD0.082010-05-20
USD0.082010-02-10
20090.14%USD 0.24USD0.082009-11-19
USD0.062009-08-20
USD0.052009-05-14
USD0.052009-02-12
20080.10%USD 0.163USD0.052008-11-20
USD0.03752008-08-14
USD0.03752008-05-15
USD0.03752008-02-13
20070.48%USD 0.811USD0.03752007-11-15
USD0.0252007-08-16
USD0.69852007-08-01
USD0.0252007-05-17
USD0.0252007-02-23
20060.04%USD 0.063USD0.0252006-11-16
USD0.01252006-08-17
USD0.01252006-05-18
USD0.01252006-02-15
20050.02%USD 0.031USD0.01252005-11-22
USD0.00622005-08-18
USD0.00622005-05-19
USD0.00622005-02-16
20040.01%USD 0.025USD0.00622004-11-18
USD0.00622004-08-19
USD0.00622004-05-14
USD0.00622004-02-11
20030.01%USD 0.025USD0.00622003-11-13
USD0.00622003-08-14
USD0.00622003-05-15
USD0.00622003-02-12
20020.01%USD 0.025USD0.00622002-11-14
USD0.00622002-08-15
USD0.00622002-05-16
USD0.00622002-02-19
20010.00%USD 0.006USD0.00622001-11-15