Connecticut Natural Gas Corporation PFD 8%(CTGSP) USD 1.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20233.47%USD 0.063USD0.06252023-02-28
202213.89%USD 0.25USD0.06252022-11-30
USD0.06252022-08-31
USD0.06252022-05-31
USD0.06252022-02-28
202113.89%USD 0.25USD0.06252021-11-30
USD0.06252021-08-31
USD0.06252021-05-28
USD0.06252021-02-26
202013.89%USD 0.25USD0.06252020-11-30
USD0.06252020-08-31
USD0.06252020-05-29
USD0.06252020-02-28
201913.89%USD 0.25USD0.06252019-11-29
USD0.06252019-08-29
USD0.06252019-05-30
USD0.06252019-02-28
201813.89%USD 0.25USD0.06252018-11-29
USD0.06252018-08-30
USD0.06252018-05-31
USD0.06252018-02-28
201713.89%USD 0.25USD0.06252017-11-30
USD0.06252017-08-30
USD0.06252017-05-30
USD0.06252017-02-27
201613.89%USD 0.25USD0.06252016-11-29
USD0.06252016-08-30
USD0.06252016-05-31
USD0.06252016-02-26
201513.89%USD 0.25USD0.06252015-11-27
USD0.06252015-08-28
USD0.06252015-05-28
USD0.06252015-02-25
201413.89%USD 0.25USD0.06252014-11-26
USD0.06252014-08-27
USD0.06252014-05-28
USD0.06252014-02-28
201313.89%USD 0.25USD0.06252013-11-26
USD0.06252013-08-28
USD0.06252013-05-29
USD0.06252013-02-27
201213.89%USD 0.25USD0.06252012-11-28
USD0.06252012-08-29
USD0.06252012-05-30
USD0.06252012-02-28
201113.89%USD 0.25USD0.06252011-12-01
USD0.06252011-08-30
USD0.06252011-06-09
USD0.06252011-03-16
201013.89%USD 0.25USD0.06252010-12-02
USD0.06252010-09-01
USD0.06252010-06-01
USD0.06252010-03-01
200913.89%USD 0.25USD0.06252009-12-02
USD0.06252009-09-02
USD0.06252009-06-01
USD0.06252009-02-27
200813.89%USD 0.25USD0.06252008-12-03
USD0.06252008-09-02
USD0.06252008-05-30
USD0.06252008-02-28
200713.89%USD 0.25USD0.06252007-12-03
USD0.06252007-08-30
USD0.06252007-05-30
USD0.06252007-02-28
200613.89%USD 0.25USD0.06252006-12-01
USD0.06252006-08-30
USD0.06252006-05-31
USD0.06252006-03-01
200513.89%USD 0.25USD0.06252005-12-01
USD0.06252005-08-31
USD0.06252005-06-01
USD0.06252005-03-02
200413.89%USD 0.25USD0.06252004-12-07
USD0.06252004-09-08
USD0.06252004-06-08
USD0.06252004-03-09
200313.89%USD 0.25USD0.06252003-12-09
USD0.06252003-09-09
USD0.06252003-06-11
USD0.06252003-03-11
200213.89%USD 0.25USD0.06252002-12-10
USD0.06252002-09-10
USD0.06252002-06-11
USD0.06252002-03-12
200113.89%USD 0.25USD0.06252001-12-12
USD0.06252001-09-12
USD0.06252001-06-13
USD0.06252001-03-13
200013.89%USD 0.25USD0.06252000-12-07
USD0.06252000-09-14
USD0.06252000-06-14
USD0.06252000-03-15