American National Group Inc(ANAT) USD 189.28
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.43%USD 0.82USD0.822022-03-03
20211.73%USD 3.28USD0.822021-12-02
USD0.822021-09-03
USD0.822021-06-03
USD0.822021-03-05
20201.73%USD 3.28USD0.822020-12-03
USD0.822020-09-04
USD0.822020-06-04
USD0.822020-03-05
20191.73%USD 3.28USD0.822019-12-05
USD0.822019-09-09
USD0.822019-06-06
USD0.822019-03-08
20181.73%USD 3.28USD0.822018-12-06
USD0.822018-09-06
USD0.822018-05-31
USD0.822018-03-02
20171.73%USD 3.28USD0.822017-11-30
USD0.822017-08-30
USD0.822017-05-31
USD0.822017-03-09
20161.72%USD 3.26USD0.822016-11-30
USD0.822016-08-31
USD0.822016-06-01
USD0.82016-03-02
20151.66%USD 3.14USD0.82015-12-02
USD0.82015-09-02
USD0.772015-06-03
USD0.772015-03-04
20141.63%USD 3.08USD0.772014-12-03
USD0.772014-09-03
USD0.772014-06-04
USD0.772014-03-06
20131.63%USD 3.08USD0.772013-12-04
USD0.772013-09-04
USD0.772013-06-05
USD0.772013-03-07
20121.63%USD 3.08USD0.772012-12-05
USD0.772012-09-05
USD0.772012-05-30
USD0.772012-02-29
20111.63%USD 3.08USD0.772011-11-30
USD0.772011-08-31
USD0.772011-06-01
USD0.772011-03-03
20101.63%USD 3.08USD0.772010-12-01
USD0.772010-09-01
USD0.772010-06-02
USD0.772010-03-03
20091.63%USD 3.08USD0.772009-12-02
USD0.772009-09-02
USD0.772009-06-03
USD0.772009-03-04
20081.63%USD 3.08USD0.772008-12-03
USD0.772008-09-03
USD0.772008-06-04
USD0.772008-03-05
20071.61%USD 3.05USD0.772007-12-05
USD0.762007-09-05
USD0.762007-05-30
USD0.762007-02-28
20061.59%USD 3.01USD0.762006-11-29
USD0.752006-08-30
USD0.752006-05-31
USD0.752006-03-01
20051.57%USD 2.97USD0.752005-11-30
USD0.742005-08-31
USD0.742005-06-01
USD0.742005-03-02
20041.56%USD 2.96USD0.742004-12-01
USD0.742004-09-01
USD0.742004-06-02
USD0.742004-03-03
20031.56%USD 2.96USD0.742003-12-03
USD0.742003-09-03
USD0.742003-06-04
USD0.742003-03-05
20021.56%USD 2.96USD0.742002-12-04
USD0.742002-09-04
USD0.742002-06-05
USD0.742002-02-27
20011.55%USD 2.93USD0.742001-12-05
USD0.732001-09-05
USD0.732001-05-30
USD0.732001-02-28
20001.51%USD 2.86USD0.732000-11-29
USD0.712000-08-30
USD0.712000-05-31
USD0.712000-03-01