Ameriserv Financial Capital Trust I PFD A GTD 8.45(ASRVP) USD 27.31
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20215.80%USD 1.584USD0.528122021-09-28
USD0.528132021-06-28
USD0.528132021-03-29
20207.74%USD 2.113USD0.528132020-12-29
USD0.528132020-09-28
USD0.528132020-06-26
USD0.528132020-03-27
20197.74%USD 2.112USD0.52812019-12-27
USD0.528132019-09-26
USD0.528132019-06-26
USD0.528132019-03-27
20187.74%USD 2.113USD0.528132018-12-27
USD0.528132018-09-26
USD0.528132018-06-27
USD0.528132018-03-28
20177.74%USD 2.113USD0.528132017-12-27
USD0.528132017-09-27
USD0.528132017-06-27
USD0.528132017-03-28
20167.74%USD 2.113USD0.528132016-12-27
USD0.528132016-09-27
USD0.528132016-06-27
USD0.528132016-03-28
20157.74%USD 2.113USD0.528132015-12-28
USD0.528132015-09-25
USD0.528132015-06-25
USD0.528132015-03-26
20147.74%USD 2.113USD0.528132014-12-26
USD0.528132014-09-25
USD0.528132014-06-25
USD0.528132014-03-26
20137.74%USD 2.113USD0.528132013-12-26
USD0.528132013-09-25
USD0.528132013-06-26
USD0.528132013-03-26
20127.74%USD 2.113USD0.528132012-12-26
USD0.528132012-09-26
USD0.528132012-06-27
USD0.528132012-03-28
20117.74%USD 2.113USD0.528132011-12-27
USD0.528132011-09-27
USD0.528132011-06-27
USD0.528132011-03-28
20107.74%USD 2.113USD0.528132010-12-28
USD0.528132010-09-27
USD0.528132010-06-25
USD0.528132010-03-26
20097.74%USD 2.113USD0.528132009-12-28
USD0.528132009-09-25
USD0.528132009-06-25
USD0.528132009-03-26
20087.74%USD 2.113USD0.528132008-12-26
USD0.528132008-09-25
USD0.528132008-06-25
USD0.528132008-03-26
20077.74%USD 2.113USD0.528132007-12-26
USD0.528132007-09-26
USD0.528132007-06-27
USD0.528132007-03-28
20067.74%USD 2.113USD0.528132006-12-26
USD0.528132006-09-27
USD0.528132006-06-28
USD0.528132006-03-28
20057.74%USD 2.113USD0.528132005-12-28
USD0.528132005-09-27
USD0.528132005-06-27
USD0.528132005-03-28
20047.74%USD 2.113USD0.528132004-12-28
USD0.528132004-09-27
USD0.528132004-06-25
USD0.528132004-03-26
20037.74%USD 2.113USD0.528132003-12-26
USD0.528132003-09-25
USD0.528132003-06-25
USD0.528132003-03-26
20027.74%USD 2.113USD0.528132002-12-26
USD0.528132002-09-25
USD0.528132002-06-26
USD0.528132002-03-26
20017.74%USD 2.112USD0.528132001-12-26
USD0.528132001-09-26
USD0.52812001-06-27
USD0.528132001-03-29
20007.74%USD 2.113USD0.528132000-12-27
USD0.528132000-09-27
USD0.528132000-06-27
USD0.528132000-03-28