Marcus Corporation(MCS) USD 17.35
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.29%USD 0.05USD0.052023-03-10
20220.58%USD 0.1USD0.052022-11-23
USD0.052022-08-24
20200.98%USD 0.17USD0.172020-02-28
20193.69%USD 0.64USD0.162019-11-22
USD0.162019-08-23
USD0.162019-05-24
USD0.162019-03-01
20183.46%USD 0.6USD0.152018-11-23
USD0.152018-08-24
USD0.152018-05-24
USD0.152018-03-02
20172.88%USD 0.5USD0.1252017-11-24
USD0.1252017-08-23
USD0.1252017-05-23
USD0.1252017-03-02
20162.59%USD 0.45USD0.11252016-11-23
USD0.11252016-08-23
USD0.11252016-05-23
USD0.11252016-02-24
20152.36%USD 0.41USD0.1052015-10-22
USD0.1052015-07-30
USD0.1052015-04-23
USD0.0952015-01-22
20142.13%USD 0.37USD0.0952014-10-23
USD0.0952014-07-31
USD0.0952014-04-23
USD0.0852014-01-23
20130.98%USD 0.17USD0.0852013-10-25
USD0.0852013-07-25
20128.55%USD 1.483USD1.172012-12-13
USD0.07822012-10-25
USD0.07822012-07-26
USD0.07822012-04-23
USD0.07822012-01-23
20111.80%USD 0.313USD0.07822011-10-21
USD0.07822011-07-21
USD0.07822011-04-20
USD0.07822011-01-21
20102.33%USD 0.405USD0.172010-10-21
USD0.07822010-07-28
USD0.07822010-04-22
USD0.07822010-01-21
20091.80%USD 0.313USD0.07822009-10-22
USD0.07822009-07-23
USD0.07822009-04-29
USD0.07822009-01-22
20081.80%USD 0.313USD0.07822008-10-23
USD0.07822008-07-23
USD0.07822008-04-23
USD0.07822008-01-23
20071.80%USD 0.313USD0.07822007-10-23
USD0.07822007-07-30
USD0.07822007-05-03
USD0.07822007-01-23
200641.97%USD 7.282USD0.0692006-10-23
USD0.0692006-07-28
USD0.0692006-04-21
USD72006-02-27
USD0.0752006-02-01
20051.27%USD 0.22USD0.0552005-10-21
USD0.0552005-07-21
USD0.0552005-04-21
USD0.0552005-01-21
20041.27%USD 0.22USD0.0552004-10-21
USD0.0552004-07-22
USD0.0552004-05-03
USD0.0552004-01-22
20031.27%USD 0.22USD0.0552003-10-23
USD0.0552003-07-23
USD0.0552003-04-23
USD0.0552003-01-23
20021.27%USD 0.22USD0.0552002-10-23
USD0.0552002-07-23
USD0.0552002-04-23
USD0.0552002-01-23
20011.27%USD 0.22USD0.0552001-10-29
USD0.0552001-07-23
USD0.0552001-04-23
USD0.0552001-01-23
20001.27%USD 0.22USD0.0552000-10-23
USD0.0552000-07-21
USD0.0552000-04-20
USD0.0552000-01-21