ChoiceOne Financial Services Inc(COFS) USD 25.28
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.03%USD 0.26USD0.262023-03-14
20224.00%USD 1.01USD0.262022-12-14
USD0.252022-09-14
USD0.252022-06-14
USD0.252022-03-14
20213.72%USD 0.94USD0.252021-12-14
USD0.252021-09-14
USD0.222021-06-14
USD0.222021-03-12
20203.24%USD 0.82USD0.222020-12-14
USD0.22020-09-14
USD0.22020-06-12
USD0.22020-03-12
20195.51%USD 1.392USD0.22019-12-12
USD0.82019-09-18
USD0.19592019-06-13
USD0.19592019-03-14
20182.77%USD 0.7USD0.17632018-12-13
USD0.17632018-09-13
USD0.17632018-06-14
USD0.171432018-03-14
20172.53%USD 0.64USD0.161912017-12-14
USD0.161912017-09-14
USD0.161912017-06-13
USD0.15422017-03-13
20162.44%USD 0.617USD0.15422016-12-13
USD0.15422016-09-13
USD0.15422016-06-13
USD0.15422016-03-11
20152.91%USD 0.736USD0.1372015-12-15
USD0.15422015-12-11
USD0.15422015-09-11
USD0.15422015-06-11
USD0.136052015-03-11
20142.12%USD 0.535USD0.136052014-12-11
USD0.136052014-09-11
USD0.136052014-06-11
USD0.126982014-03-12
20131.94%USD 0.49USD0.126982013-12-11
USD0.126982013-09-11
USD0.117912013-06-12
USD0.117912013-03-13
20121.79%USD 0.454USD0.117912012-12-12
USD0.117912012-09-12
USD0.108842012-06-13
USD0.108842012-03-13
20111.72%USD 0.435USD0.108842011-12-13
USD0.108842011-09-13
USD0.108842011-06-13
USD0.108842011-03-11
20101.72%USD 0.435USD0.108842010-12-13
USD0.108842010-09-13
USD0.108842010-06-11
USD0.108842010-03-11
20091.72%USD 0.435USD0.108842009-12-11
USD0.108842009-09-11
USD0.108842009-06-11
USD0.108842009-03-11
20082.44%USD 0.617USD0.15422008-12-11
USD0.15422008-09-11
USD0.15422008-06-11
USD0.15422008-03-12
20072.44%USD 0.617USD0.15422007-12-12
USD0.15422007-09-12
USD0.15422007-06-13
USD0.15422007-03-13
20062.44%USD 0.617USD0.15422006-12-13
USD0.15422006-09-13
USD0.15422006-06-13
USD0.15422006-03-13
20052.41%USD 0.609USD0.15422005-12-13
USD0.15422005-09-13
USD0.15422005-06-13
USD0.146852005-03-11
20042.32%USD 0.587USD0.146852004-12-13
USD0.146852004-09-13
USD0.146852004-06-14
USD0.146852004-03-10
20032.23%USD 0.565USD0.146852003-12-10
USD0.146852003-09-11
USD0.146852003-06-11
USD0.12432003-03-11
20021.94%USD 0.491USD0.12432002-12-11
USD0.12432002-09-11
USD0.12432002-06-11
USD0.11842002-03-12
20010.94%USD 0.237USD0.11842001-12-12
USD0.11842001-09-11