Premier Financial Corp(PFC) USD 18.97
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.63%USD 0.31USD0.312023-02-09
20227.91%USD 1.5USD0.32022-11-10
USD0.32022-11-09
USD0.32022-08-04
USD0.32022-05-05
USD0.32022-02-10
20215.54%USD 1.05USD0.282021-11-10
USD0.272021-08-19
USD0.262021-05-06
USD0.242021-02-11
20204.64%USD 0.88USD0.222020-11-12
USD0.222020-08-13
USD0.222020-05-14
USD0.222020-02-13
20194.16%USD 0.79USD0.222019-11-14
USD0.192019-08-15
USD0.192019-05-16
USD0.192019-02-14
20183.37%USD 0.64USD0.172018-11-08
USD0.172018-08-16
USD0.152018-05-17
USD0.152018-02-15
20172.64%USD 0.5USD0.1252017-11-09
USD0.1252017-08-16
USD0.1252017-05-17
USD0.1252017-02-15
20163.48%USD 0.66USD0.222016-11-09
USD0.112016-11-08
USD0.112016-08-17
USD0.112016-05-18
USD0.112016-02-17
20152.04%USD 0.388USD0.12015-11-10
USD0.12015-08-19
USD0.12015-05-19
USD0.08752015-02-18
20141.65%USD 0.313USD0.08752014-11-12
USD0.0752014-08-20
USD0.0752014-05-20
USD0.0752014-02-19
20131.05%USD 0.2USD0.052013-11-06
USD0.052013-08-28
USD0.052013-05-29
USD0.052013-02-26
20120.53%USD 0.1USD0.0252012-11-28
USD0.0252012-08-30
USD0.0252012-05-11
USD0.0252012-02-13
20110.13%USD 0.025USD0.0252011-11-10
20091.23%USD 0.233USD0.022009-10-07
USD0.04252009-07-08
USD0.0852009-04-07
USD0.0852009-01-07
20082.74%USD 0.52USD0.132008-10-08
USD0.132008-07-09
USD0.132008-04-09
USD0.132008-01-09
20072.64%USD 0.5USD0.1252007-10-10
USD0.1252007-07-11
USD0.1252007-04-11
USD0.1252007-01-10
20062.53%USD 0.48USD0.122006-10-11
USD0.122006-07-12
USD0.122006-04-11
USD0.122006-01-11
20052.32%USD 0.44USD0.112005-10-12
USD0.112005-07-06
USD0.112005-04-06
USD0.112005-01-12
20042.11%USD 0.4USD0.12004-10-06
USD0.12004-07-07
USD0.12004-04-06
USD0.12004-01-07
20031.58%USD 0.3USD0.0752003-10-08
USD0.0752003-07-09
USD0.0752003-04-09
USD0.0752003-01-08
20021.37%USD 0.26USD0.0652002-10-09
USD0.0652002-07-10
USD0.0652002-04-10
USD0.0652002-01-09
20011.27%USD 0.24USD0.062001-10-10
USD0.062001-07-11
USD0.062001-04-10
USD0.062001-01-10
20001.16%USD 0.22USD0.0552000-10-11
USD0.0552000-07-12
USD0.0552000-04-12
USD0.0552000-01-12