UGI Corporation(UGI) USD 34.59
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.04%USD 0.36USD0.362023-03-14
20224.12%USD 1.425USD0.362022-12-14
USD0.362022-09-14
USD0.362022-06-14
USD0.3452022-03-14
20213.95%USD 1.365USD0.3452021-12-14
USD0.3452021-09-14
USD0.3452021-06-14
USD0.332021-03-12
20203.80%USD 1.315USD0.332020-12-14
USD0.332020-09-14
USD0.332020-06-12
USD0.3252020-03-13
20193.50%USD 1.21USD0.3252019-12-13
USD0.3252019-08-08
USD0.32019-06-13
USD0.262019-03-14
20182.98%USD 1.03USD0.262018-12-13
USD0.262018-09-13
USD0.262018-06-14
USD0.252018-03-14
20172.85%USD 0.988USD0.252017-12-14
USD0.252017-09-14
USD0.252017-06-13
USD0.23752017-03-13
20162.72%USD 0.94USD0.23752016-12-13
USD0.23752016-09-13
USD0.23752016-06-13
USD0.22752016-03-11
20152.60%USD 0.9USD0.22752015-12-11
USD0.22752015-09-11
USD0.22752015-06-11
USD0.21752015-03-12
20142.37%USD 0.82USD0.21752014-12-11
USD0.21752014-09-11
USD0.19672014-06-12
USD0.18832014-03-12
20132.15%USD 0.745USD0.18832013-12-12
USD0.18832013-09-12
USD0.18832013-06-12
USD0.182013-03-13
20122.06%USD 0.713USD0.182012-12-12
USD0.182012-09-12
USD0.182012-06-13
USD0.17332012-03-13
20111.98%USD 0.687USD0.17332011-12-13
USD0.17332011-09-13
USD0.17332011-06-13
USD0.16672011-03-11
20101.83%USD 0.633USD0.16672010-12-13
USD0.16672010-09-13
USD0.16672010-06-11
USD0.13332010-03-11
20091.53%USD 0.528USD0.13332009-12-11
USD0.13332009-09-11
USD0.13332009-06-11
USD0.12832009-03-12
20081.47%USD 0.508USD0.12832008-12-11
USD0.12832008-09-11
USD0.12832008-06-12
USD0.12332008-03-12
20071.41%USD 0.487USD0.12332007-12-12
USD0.12332007-09-12
USD0.12332007-06-13
USD0.11752007-03-13
20061.34%USD 0.465USD0.11752006-12-13
USD0.11752006-09-13
USD0.11752006-06-13
USD0.11252006-03-13
20051.28%USD 0.442USD0.11252005-12-13
USD0.11252005-09-13
USD0.11252005-06-13
USD0.10422005-02-24
20041.18%USD 0.408USD0.10422004-11-26
USD0.10422004-08-27
USD0.10422004-05-26
USD0.0952004-02-25
20031.10%USD 0.38USD0.0952003-11-25
USD0.0952003-08-27
USD0.0952003-05-28
USD0.0952003-02-26
20021.05%USD 0.364USD0.09172002-11-26
USD0.09172002-08-28
USD0.09172002-05-29
USD0.08892002-02-26
20011.02%USD 0.353USD0.08892001-11-28
USD0.08892001-08-29
USD0.08892001-05-29
USD0.08612001-02-26
20000.99%USD 0.342USD0.08612000-11-28
USD0.08612000-08-29
USD0.08612000-05-26
USD0.08332000-02-25