Commercial Metals Company(CMC) USD 48.39
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.66%USD 0.32USD0.162023-03-31
USD0.162023-01-18
20221.20%USD 0.58USD0.162022-10-26
USD0.142022-06-28
USD0.142022-03-29
USD0.142022-01-19
20211.03%USD 0.5USD0.142021-10-26
USD0.122021-06-29
USD0.122021-03-30
USD0.122021-01-20
20200.99%USD 0.48USD0.122020-10-28
USD0.122020-07-02
USD0.122020-04-03
USD0.122020-01-14
20190.99%USD 0.48USD0.122019-11-05
USD0.122019-07-03
USD0.122019-04-04
USD0.122019-01-14
20180.99%USD 0.48USD0.122018-11-06
USD0.122018-07-03
USD0.122018-04-03
USD0.122018-01-12
20170.99%USD 0.48USD0.122017-11-07
USD0.122017-07-03
USD0.122017-04-03
USD0.122017-01-12
20160.99%USD 0.48USD0.122016-11-07
USD0.122016-07-05
USD0.122016-04-04
USD0.122016-01-14
20150.99%USD 0.48USD0.122015-11-06
USD0.122015-07-07
USD0.122015-04-07
USD0.122015-01-15
20140.99%USD 0.48USD0.122014-11-07
USD0.122014-07-08
USD0.122014-04-07
USD0.122014-01-16
20130.99%USD 0.48USD0.122013-11-04
USD0.122013-07-05
USD0.122013-04-05
USD0.122013-01-16
20120.99%USD 0.48USD0.122012-11-05
USD0.122012-07-09
USD0.122012-04-09
USD0.122012-01-18
20110.74%USD 0.36USD0.122011-10-14
USD0.122011-06-29
USD0.122011-03-30
20101.24%USD 0.6USD0.122010-12-30
USD0.122010-09-29
USD0.122010-06-30
USD0.122010-03-30
USD0.122010-01-06
20090.99%USD 0.48USD0.122009-09-30
USD0.122009-06-30
USD0.122009-04-01
USD0.122009-01-06
20080.99%USD 0.48USD0.122008-10-01
USD0.122008-07-01
USD0.122008-04-02
USD0.122008-01-08
20070.74%USD 0.36USD0.092007-10-03
USD0.092007-07-03
USD0.092007-04-03
USD0.092007-01-03
20060.41%USD 0.2USD0.062006-10-04
USD0.062006-07-05
USD0.052006-04-05
USD0.032006-01-04
20050.25%USD 0.12USD0.032005-10-05
USD0.032005-06-29
USD0.032005-03-30
USD0.032005-01-19
20040.14%USD 0.07USD0.0252004-09-29
USD0.0252004-06-30
USD0.022004-03-31
20030.17%USD 0.08USD0.022003-12-30
USD0.022003-10-01
USD0.022003-07-01
USD0.022003-04-02
20020.16%USD 0.076USD0.022002-12-30
USD0.022002-10-02
USD0.022002-07-02
USD0.01622002-04-03
20010.17%USD 0.081USD0.01622001-12-31
USD0.01622001-10-03
USD0.01622001-07-03
USD0.01622001-04-04
USD0.01622001-01-02
20000.13%USD 0.065USD0.01622000-10-04
USD0.01622000-07-05
USD0.01622000-04-05
USD0.01622000-01-05