Quanex Building Products(NX) USD 20.77
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.39%USD 0.08USD0.082023-03-14
20221.54%USD 0.32USD0.082022-12-16
USD0.082022-09-15
USD0.082022-06-14
USD0.082022-03-14
20211.54%USD 0.32USD0.082021-12-20
USD0.082021-09-15
USD0.082021-06-14
USD0.082021-03-12
20201.54%USD 0.32USD0.082020-12-15
USD0.082020-09-15
USD0.082020-06-12
USD0.082020-03-16
20191.54%USD 0.32USD0.082019-12-13
USD0.082019-09-13
USD0.082019-06-13
USD0.082019-03-15
20181.16%USD 0.24USD0.082018-12-14
USD0.082018-09-13
USD0.042018-06-14
USD0.042018-03-14
20170.77%USD 0.16USD0.042017-12-14
USD0.042017-09-15
USD0.042017-06-13
USD0.042017-03-15
20160.77%USD 0.16USD0.042016-12-13
USD0.042016-09-14
USD0.042016-06-13
USD0.042016-03-16
20150.77%USD 0.16USD0.042015-12-11
USD0.042015-09-16
USD0.042015-06-11
USD0.042015-03-12
20140.77%USD 0.16USD0.042014-12-11
USD0.042014-09-12
USD0.042014-06-12
USD0.042014-03-12
20130.77%USD 0.16USD0.042013-12-12
USD0.042013-09-12
USD0.042013-06-13
USD0.042013-03-13
20120.77%USD 0.16USD0.042012-12-14
USD0.042012-09-12
USD0.042012-06-13
USD0.042012-03-13
20110.77%USD 0.16USD0.042011-12-20
USD0.042011-09-13
USD0.042011-06-14
USD0.042011-03-11
20100.72%USD 0.15USD0.042010-12-13
USD0.042010-09-13
USD0.042010-06-14
USD0.032010-03-11
20090.58%USD 0.12USD0.032009-12-16
USD0.032009-09-11
USD0.032009-06-11
USD0.032009-03-12
2008189.35%USD 39.329USD0.032008-12-16
USD0.032008-09-11
USD0.032008-06-12
USD39.22008-04-24
USD0.038692008-03-12
20070.75%USD 0.155USD0.038692007-12-14
USD0.038692007-09-12
USD0.038692007-06-13
USD0.038692007-03-13
20060.69%USD 0.144USD0.038692006-12-14
USD0.038692006-09-13
USD0.033162006-06-13
USD0.033162006-03-13
20050.51%USD 0.107USD0.028562005-12-13
USD0.028562005-09-13
USD0.024872005-06-15
USD0.024872005-03-11
20040.43%USD 0.09USD0.024872004-12-15
USD0.023342004-09-13
USD0.020882004-06-14
USD0.020882004-03-11
20030.40%USD 0.084USD0.020882003-12-17
USD0.020882003-09-11
USD0.020882003-06-12
USD0.020882003-03-12
20020.38%USD 0.079USD0.019652002-12-18
USD0.019652002-09-12
USD0.019652002-06-12
USD0.019652002-03-13
20010.72%USD 0.15USD0.019652001-12-19
USD0.019652001-09-12
USD0.071112001-09-10
USD0.019652001-06-13
USD0.019652001-03-14
20000.38%USD 0.079USD0.019652000-12-20
USD0.019652000-09-13
USD0.019652000-06-13
USD0.019652000-03-15