Ashland Global Holdings Inc(ASH) USD 103.76
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.32%USD 0.335USD0.3352023-02-28
20221.26%USD 1.305USD0.3352022-11-30
USD0.3352022-08-31
USD0.3352022-05-31
USD0.32022-02-28
20211.13%USD 1.175USD0.32021-11-30
USD0.32021-08-31
USD0.32021-05-28
USD0.2752021-02-25
20201.06%USD 1.1USD0.2752020-11-30
USD0.2752020-08-31
USD0.2752020-05-29
USD0.2752020-02-27
20191.04%USD 1.075USD0.2752019-11-29
USD0.2752019-08-29
USD0.2752019-05-31
USD0.252019-02-28
20180.94%USD 0.975USD0.252018-11-30
USD0.252018-08-30
USD0.252018-05-31
USD0.2252018-02-28
20170.83%USD 0.866USD0.2252017-11-30
USD0.2252017-08-30
USD0.2252017-05-30
USD0.19082017-02-27
20160.74%USD 0.763USD0.19082016-11-29
USD0.19082016-08-17
USD0.19082016-06-01
USD0.19082016-02-17
20150.71%USD 0.739USD0.19082015-11-27
USD0.19082015-08-19
USD0.19082015-05-27
USD0.16642015-02-11
20140.64%USD 0.666USD0.16642014-11-26
USD0.16642014-08-13
USD0.16642014-05-28
USD0.16642014-02-12
20130.59%USD 0.609USD0.16642013-11-27
USD0.16642013-08-14
USD0.16642013-05-29
USD0.11012013-02-13
20120.40%USD 0.416USD0.11012012-11-29
USD0.11012012-08-15
USD0.11012012-05-30
USD0.08562012-02-15
20110.32%USD 0.33USD0.08562011-11-29
USD0.08562011-08-17
USD0.08562011-05-31
USD0.07342011-02-16
20100.25%USD 0.257USD0.07342010-11-29
USD0.07342010-08-18
USD0.07342010-05-28
USD0.03672010-02-17
20090.14%USD 0.147USD0.03672009-11-27
USD0.03672009-08-18
USD0.03672009-05-26
USD0.03672009-02-17
20080.42%USD 0.44USD0.03672008-11-26
USD0.13452008-08-18
USD0.13452008-05-23
USD0.13452008-02-14
20070.52%USD 0.538USD0.13452007-11-21
USD0.13452007-08-16
USD0.13452007-05-24
USD0.13452007-02-14
20065.33%USD 5.529USD0.13452006-11-22
USD4.99052006-10-26
USD0.134552006-08-17
USD0.134552006-05-25
USD0.134552006-02-15
20050.48%USD 0.498USD0.134552005-11-17
USD0.134552005-08-18
USD0.11452005-05-25
USD0.11452005-02-16
20040.44%USD 0.458USD0.11452004-11-18
USD0.11452004-08-19
USD0.11452004-05-26
USD0.11452004-02-19
20030.44%USD 0.458USD0.11452003-11-20
USD0.11452003-08-21
USD0.11452003-05-28
USD0.11452003-02-20
20020.44%USD 0.458USD0.11452002-11-21
USD0.11452002-08-22
USD0.11452002-05-28
USD0.11452002-02-21
20010.44%USD 0.458USD0.11452001-11-21
USD0.11452001-08-22
USD0.11452001-05-24
USD0.11452001-02-21
20000.44%USD 0.458USD0.11452000-11-16
USD0.11452000-08-22
USD0.11452000-05-25
USD0.11452000-02-22