Deluxe Corporation(DLX) USD 15.38
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.95%USD 0.3USD0.32023-02-17
20227.80%USD 1.2USD0.32022-11-18
USD0.32022-08-19
USD0.32022-05-20
USD0.32022-02-18
20217.80%USD 1.2USD0.32021-11-19
USD0.32021-08-20
USD0.32021-05-21
USD0.32021-02-12
20207.80%USD 1.2USD0.32020-11-20
USD0.32020-08-21
USD0.32020-05-15
USD0.32020-02-14
20197.80%USD 1.2USD0.32019-11-15
USD0.32019-08-16
USD0.32019-05-17
USD0.32019-02-15
20187.80%USD 1.2USD0.32018-11-16
USD0.32018-08-17
USD0.32018-05-18
USD0.32018-02-16
20177.80%USD 1.2USD0.32017-11-17
USD0.32017-08-17
USD0.32017-05-18
USD0.32017-02-16
20167.80%USD 1.2USD0.32016-11-17
USD0.32016-08-18
USD0.32016-05-19
USD0.32016-02-18
20157.80%USD 1.2USD0.32015-11-19
USD0.32015-08-20
USD0.32015-05-14
USD0.32015-02-12
20147.48%USD 1.15USD0.32014-11-13
USD0.32014-08-14
USD0.32014-05-15
USD0.252014-02-12
20136.50%USD 1USD0.252013-11-14
USD0.252013-08-15
USD0.252013-05-16
USD0.252013-02-13
20126.50%USD 1USD0.252012-11-15
USD0.252012-08-16
USD0.252012-05-17
USD0.252012-02-15
20116.50%USD 1USD0.252011-11-17
USD0.252011-08-18
USD0.252011-05-19
USD0.252011-02-16
20106.50%USD 1USD0.252010-11-10
USD0.252010-08-12
USD0.252010-05-13
USD0.252010-02-10
20096.50%USD 1USD0.252009-11-12
USD0.252009-08-13
USD0.252009-05-14
USD0.252009-02-11
20086.50%USD 1USD0.252008-11-13
USD0.252008-08-14
USD0.252008-05-15
USD0.252008-02-13
20076.50%USD 1USD0.252007-11-15
USD0.252007-08-16
USD0.252007-05-17
USD0.252007-02-15
20068.45%USD 1.3USD0.252006-11-16
USD0.252006-08-17
USD0.42006-05-18
USD0.42006-02-16
200510.40%USD 1.6USD0.42005-11-17
USD0.42005-08-18
USD0.42005-05-19
USD0.42005-02-17
20049.62%USD 1.48USD0.372004-11-18
USD0.372004-08-19
USD0.372004-05-20
USD0.372004-02-12
20039.62%USD 1.48USD0.372003-11-13
USD0.372003-08-14
USD0.372003-05-15
USD0.372003-02-13
20029.62%USD 1.48USD0.372002-11-14
USD0.372002-08-15
USD0.372002-05-16
USD0.372002-02-14
20019.62%USD 1.48USD0.372001-11-15
USD0.372001-08-16
USD0.372001-05-17
USD0.372001-02-15
20007.69%USD 1.183USD0.295822000-11-16
USD0.295822000-08-17
USD0.295822000-05-18
USD0.295822000-02-17