PPL Corporation(PPL) USD 28.49
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.84%USD 0.24USD0.242023-03-09
20223.07%USD 0.875USD0.2252022-12-08
USD0.2252022-09-08
USD0.2252022-06-17
USD0.22022-03-09
20215.83%USD 1.66USD0.4152021-12-09
USD0.4152021-09-09
USD0.4152021-06-09
USD0.4152021-03-09
20205.83%USD 1.66USD0.4152020-12-09
USD0.4152020-09-09
USD0.4152020-06-09
USD0.4152020-03-09
20195.79%USD 1.65USD0.41252019-12-09
USD0.41252019-09-09
USD0.41252019-06-07
USD0.41252019-03-07
20185.76%USD 1.64USD0.412018-12-07
USD0.412018-09-07
USD0.412018-06-07
USD0.412018-03-08
20175.55%USD 1.58USD0.3952017-12-07
USD0.3952017-09-07
USD0.3952017-06-07
USD0.3952017-03-08
20165.34%USD 1.52USD0.382016-12-07
USD0.382016-09-07
USD0.382016-06-08
USD0.382016-03-08
20155.17%USD 1.473USD0.37752015-12-08
USD0.37752015-09-08
USD0.37252015-06-08
USD0.34572015-03-06
20144.85%USD 1.383USD0.34572014-12-08
USD0.34572014-09-08
USD0.34572014-06-06
USD0.34572014-03-06
20134.79%USD 1.364USD0.3412013-12-06
USD0.3412013-09-06
USD0.3412013-06-06
USD0.3412013-03-06
20124.69%USD 1.336USD0.33412012-12-06
USD0.33412012-09-06
USD0.33412012-06-06
USD0.33412012-03-07
20114.56%USD 1.299USD0.32482011-12-07
USD0.32482011-09-07
USD0.32482011-06-08
USD0.32482011-03-08
20104.56%USD 1.299USD0.32482010-12-08
USD0.32482010-09-08
USD0.32482010-06-08
USD0.32482010-03-08
20094.49%USD 1.28USD0.32012009-12-08
USD0.32012009-09-08
USD0.32012009-06-08
USD0.32012009-03-06
20084.37%USD 1.244USD0.31092008-12-08
USD0.31092008-09-08
USD0.31092008-06-06
USD0.31092008-03-06
20073.97%USD 1.132USD0.2832007-12-06
USD0.2832007-09-06
USD0.2832007-06-06
USD0.2832007-03-07
20063.58%USD 1.021USD0.25522006-12-06
USD0.25522006-09-06
USD0.25522006-06-07
USD0.25522006-03-08
20053.95%USD 1.125USD0.2322005-12-07
USD0.46572005-09-07
USD0.21342005-06-08
USD0.21342005-03-08
20042.67%USD 0.761USD0.19022004-12-08
USD0.19022004-09-08
USD0.19022004-06-08
USD0.19022004-03-08
20032.51%USD 0.714USD0.17862003-12-08
USD0.17862003-09-08
USD0.17862003-06-06
USD0.17862003-03-06
20022.34%USD 0.668USD0.1672002-12-06
USD0.1672002-09-06
USD0.1672002-06-06
USD0.1672002-03-06
20011.73%USD 0.492USD0.1232001-12-06
USD0.1232001-09-06
USD0.1232001-06-06
USD0.1232001-03-07
20001.73%USD 0.492USD0.1232000-12-06
USD0.1232000-09-06
USD0.1232000-06-07
USD0.1232000-03-08