Philip Morris International Inc(PM) USD 101.33
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.25%USD 1.27USD1.272023-03-22
20224.97%USD 5.04USD1.272022-12-21
USD1.272022-09-27
USD1.252022-06-30
USD1.252022-03-23
20214.84%USD 4.9USD1.252021-12-22
USD1.252021-09-28
USD1.22021-06-24
USD1.22021-03-19
20204.68%USD 4.74USD1.22020-12-22
USD1.22020-09-23
USD1.172020-06-19
USD1.172020-03-20
20194.56%USD 4.62USD1.172019-12-18
USD1.172019-09-24
USD1.142019-06-20
USD1.142019-03-25
20184.43%USD 4.49USD1.142018-12-19
USD1.142018-09-25
USD1.142018-06-21
USD1.072018-03-21
20174.16%USD 4.22USD1.072017-12-20
USD1.072017-09-26
USD1.042017-06-21
USD1.042017-03-21
20164.07%USD 4.12USD1.042016-12-20
USD1.042016-09-26
USD1.022016-06-21
USD1.022016-03-22
20153.99%USD 4.04USD1.022015-12-21
USD1.022015-09-28
USD12015-06-23
USD12015-03-24
20143.83%USD 3.88USD12014-12-22
USD12014-09-23
USD0.942014-06-24
USD0.942014-03-25
20133.53%USD 3.58USD0.942013-12-23
USD0.942013-09-24
USD0.852013-06-25
USD0.852013-03-26
20122.48%USD 2.514USD0.0852012-12-24
USD0.0392012-12-20
USD0.852012-09-25
USD0.772012-06-25
USD0.772012-03-27
20112.78%USD 2.82USD0.772011-12-20
USD0.772011-09-23
USD0.642011-06-21
USD0.642011-03-22
20102.41%USD 2.44USD0.642010-12-21
USD0.642010-09-22
USD0.582010-06-22
USD0.582010-03-23
20092.21%USD 2.24USD0.582009-12-23
USD0.582009-09-24
USD0.542009-06-22
USD0.542009-03-23
20081.52%USD 1.54USD0.542008-12-23
USD0.542008-09-11
USD0.462008-06-26