Smith AO Corporation(AOS) USD 68.54
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.44%USD 0.3USD0.32023-01-30
20221.66%USD 1.14USD0.32022-10-28
USD0.282022-07-28
USD0.282022-04-28
USD0.282022-01-28
20211.55%USD 1.06USD0.282021-10-28
USD0.262021-07-29
USD0.262021-04-29
USD0.262021-01-28
20201.43%USD 0.98USD0.262020-10-29
USD0.242020-07-30
USD0.242020-04-29
USD0.242020-01-30
20191.31%USD 0.9USD0.242019-10-30
USD0.222019-07-30
USD0.222019-04-29
USD0.222019-01-30
20181.11%USD 0.76USD0.222018-10-30
USD0.182018-07-30
USD0.182018-04-27
USD0.182018-01-30
20170.82%USD 0.56USD0.142017-10-30
USD0.142017-07-27
USD0.142017-04-26
USD0.142017-01-27
20160.70%USD 0.48USD0.122016-10-27
USD0.122016-07-27
USD0.122016-04-27
USD0.122016-02-03
20150.55%USD 0.38USD0.0952015-10-28
USD0.0952015-07-29
USD0.0952015-04-28
USD0.0952015-02-04
20140.44%USD 0.3USD0.0752014-10-29
USD0.0752014-07-29
USD0.0752014-04-28
USD0.0752014-02-05
20130.34%USD 0.23USD0.062013-10-29
USD0.062013-07-29
USD0.062013-04-25
USD0.052013-01-29
20120.26%USD 0.18USD0.052012-10-29
USD0.052012-07-27
USD0.042012-04-26
USD0.042012-01-27
20110.22%USD 0.15USD0.042011-10-27
USD0.042011-07-27
USD0.0352011-04-27
USD0.0352011-01-27
20100.27%USD 0.188USD0.05252010-11-16
USD0.0352010-10-27
USD0.0352010-07-28
USD0.03252010-04-28
USD0.03252010-01-27
20090.19%USD 0.128USD0.03252009-10-28
USD0.03252009-07-29
USD0.03172009-04-28
USD0.03172009-01-28
20080.18%USD 0.123USD0.03172008-10-29
USD0.03172008-07-29
USD0.032008-04-28
USD0.032008-01-29
20070.17%USD 0.117USD0.032007-10-29
USD0.032007-07-27
USD0.02832007-04-26
USD0.02832007-01-29
20060.16%USD 0.11USD0.02832006-10-27
USD0.02832006-07-27
USD0.02672006-04-26
USD0.02672006-01-27
20050.16%USD 0.107USD0.02672005-10-27
USD0.02672005-07-27
USD0.02672005-04-27
USD0.02672005-01-27
20040.15%USD 0.103USD0.02672004-10-27
USD0.02672004-07-28
USD0.0252004-04-28
USD0.0252004-01-28
20030.14%USD 0.097USD0.0252003-10-29
USD0.0252003-07-29
USD0.02332003-04-28
USD0.02332003-01-29
20020.13%USD 0.09USD0.02332002-10-29
USD0.02332002-07-29
USD0.02172002-04-26
USD0.02172002-01-29
20010.13%USD 0.087USD0.02172001-10-29
USD0.02172001-07-27
USD0.02172001-04-26
USD0.02172001-01-29
20000.12%USD 0.083USD0.02172000-10-27
USD0.02172000-07-27
USD0.022000-04-26
USD0.022000-01-27