AmTrust Financial Services Inc ADR Series F(AFSIN) USD 13
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20233.34%USD 0.434USD0.434382023-02-28
202213.37%USD 1.738USD0.434382022-11-30
USD0.434382022-08-31
USD0.434382022-05-31
USD0.434382022-02-28
202113.37%USD 1.738USD0.434382021-11-30
USD0.434382021-08-31
USD0.434382021-05-28
USD0.434382021-02-26
202013.37%USD 1.738USD0.434382020-11-30
USD0.434382020-08-31
USD0.434382020-05-29
USD0.434382020-02-27
201913.37%USD 1.738USD0.434382019-11-27
USD0.434382019-08-29
USD0.434382019-05-30
USD0.434382019-02-28
201814.89%USD 1.936USD0.4842018-11-29
USD0.4842018-08-30
USD0.4842018-05-31
USD0.4842018-02-28
201714.89%USD 1.936USD0.4842017-11-30
USD0.4842017-08-30
USD0.4842017-05-30
USD0.4842017-02-27
201611.17%USD 1.452USD0.4842016-11-29
USD0.4842016-08-30
USD0.4842016-05-27