American International Group Inc(AIG) USD 52.46
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.61%USD 0.32USD0.322023-03-16
20222.44%USD 1.28USD0.322022-12-14
USD0.322022-09-15
USD0.322022-06-15
USD0.322022-03-16
20212.44%USD 1.28USD0.322021-12-15
USD0.322021-09-15
USD0.322021-06-14
USD0.322021-03-15
20202.44%USD 1.28USD0.322020-12-11
USD0.322020-09-16
USD0.322020-06-12
USD0.322020-03-13
20192.44%USD 1.28USD0.322019-12-11
USD0.322019-09-16
USD0.322019-06-13
USD0.322019-03-14
20182.44%USD 1.28USD0.322018-12-11
USD0.322018-09-14
USD0.322018-06-13
USD0.322018-03-14
20172.44%USD 1.28USD0.322017-12-07
USD0.322017-09-14
USD0.322017-06-12
USD0.322017-03-13
20162.44%USD 1.28USD0.322016-12-06
USD0.322016-09-13
USD0.322016-06-09
USD0.322016-03-10
20151.54%USD 0.81USD0.282015-12-03
USD0.282015-09-10
USD0.1252015-06-09
USD0.1252015-03-10
20140.95%USD 0.5USD0.1252014-12-02
USD0.1252014-09-09
USD0.1252014-06-06
USD0.1252014-03-07
20130.38%USD 0.2USD0.12013-12-03
USD0.12013-09-10
201116.58%USD 8.7USD8.72011-01-20
200823.64%USD 12.4USD4.42008-09-03
USD42008-06-04
USD42008-03-05
200727.83%USD 14.6USD42007-12-05
USD42007-09-05
USD3.32007-05-30
USD3.32007-02-28
200624.02%USD 12.6USD3.32006-11-29
USD3.32006-08-30
USD32006-05-31
USD32006-03-01
200520.97%USD 11USD32005-11-30
USD32005-08-31
USD2.52005-06-01
USD2.52005-03-02
200411.06%USD 5.8USD1.52004-12-01
USD1.52004-09-01
USD1.52004-06-02
USD1.32004-03-03
20038.54%USD 4.48USD1.32003-12-03
USD1.32003-09-03
USD0.942003-06-04
USD0.942003-03-05
20026.86%USD 3.6USD0.962002-12-04
USD0.942002-09-04
USD0.862002-06-05
USD0.842002-02-27
20016.02%USD 3.16USD0.842001-12-05
USD0.842001-08-07
USD0.742001-05-30
USD0.742001-02-28
20005.36%USD 2.813USD0.742000-11-29
USD0.742000-08-30
USD0.666672000-05-31
USD0.666672000-03-01