Brookfield Asset Management Inc(BAMGF) USD 10.1107
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20232.00%USD 0.202USD0.202312023-03-14
20228.00%USD 0.809USD0.202312022-12-14
USD0.202312022-09-14
USD0.202312022-06-14
USD0.202312022-03-14
20217.73%USD 0.781USD0.202312021-12-14
USD0.2022021-09-14
USD0.188382021-06-14
USD0.188382021-03-12
20207.45%USD 0.754USD0.188382020-12-14
USD0.188382020-09-14
USD0.188382020-06-12
USD0.188382020-03-12
20197.45%USD 0.754USD0.188382019-12-12
USD0.188382019-09-12
USD0.188382019-06-13
USD0.188382019-03-14
20187.45%USD 0.754USD0.188382018-12-13
USD0.188382018-09-13
USD0.188382018-06-14
USD0.188382018-03-14
20177.45%USD 0.754USD0.188382017-12-14
USD0.188382017-09-14
USD0.188382017-06-13
USD0.188382017-03-13
201610.40%USD 1.052USD0.188382016-12-13
USD0.188382016-09-13
USD0.33752016-06-13
USD0.33752016-03-11
201513.35%USD 1.35USD0.33752015-12-11
USD0.33752015-09-11
USD0.33752015-06-11
USD0.33752015-03-11
201413.35%USD 1.35USD0.33752014-12-11
USD0.33752014-09-11
USD0.33752014-06-11
USD0.33752014-03-12
20136.68%USD 0.675USD0.33752013-12-11
USD0.33752013-09-11