First Guaranty Bancshares Inc(FGBI) USD 13.69
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.17%USD 0.16USD0.162023-03-23
20224.67%USD 0.64USD0.162022-12-22
USD0.162022-09-22
USD0.162022-06-23
USD0.162022-03-18
20214.36%USD 0.597USD0.162021-12-22
USD0.14552021-09-17
USD0.14552021-06-18
USD0.14552021-03-19
20204.25%USD 0.582USD0.14552020-12-23
USD0.14552020-09-22
USD0.14552020-06-19
USD0.14552020-03-20
20193.96%USD 0.542USD0.14552019-12-20
USD0.13222019-09-19
USD0.13222019-06-20
USD0.13222019-03-21
20183.86%USD 0.529USD0.13222018-12-20
USD0.13222018-09-18
USD0.13222018-06-19
USD0.13222018-03-19
20173.60%USD 0.493USD0.13222017-12-18
USD0.12022017-09-15
USD0.12022017-06-16
USD0.12022017-03-17
20163.51%USD 0.481USD0.12022016-12-16
USD0.12022016-09-16
USD0.12022016-06-16
USD0.12022016-03-17
20153.51%USD 0.481USD0.12022015-12-22
USD0.120212015-09-17
USD0.120212015-06-18
USD0.120212015-03-19
20143.51%USD 0.481USD0.120212014-12-11
USD0.120212014-09-23
USD0.120212014-06-19
USD0.120212014-03-20
20133.51%USD 0.481USD0.120212013-12-19
USD0.120212013-09-19
USD0.120212013-06-18
USD0.120212013-03-15
20123.51%USD 0.481USD0.120212012-12-26
USD0.120212012-09-14
USD0.12022012-06-18
USD0.12022012-03-23
20113.19%USD 0.437USD0.10932011-12-21
USD0.10932011-09-26
USD0.10932011-06-24
USD0.10932011-04-01
20103.99%USD 0.547USD0.10932010-12-23
USD0.10932010-10-01
USD0.10932010-07-01
USD0.10932010-04-09
USD0.10932010-01-14
20093.35%USD 0.459USD0.12022009-09-19
USD0.12022009-06-19
USD0.10932009-04-22
USD0.10932009-01-08
20083.19%USD 0.437USD0.10932008-09-25
USD0.10932008-07-16
USD0.10932008-03-27
USD0.10932008-01-04
20072.35%USD 0.321USD0.10932007-09-25
USD0.10932007-06-25
USD0.10252007-03-21
20063.74%USD 0.513USD0.10252006-12-29
USD0.10252006-09-25
USD0.10252006-06-23
USD0.10252006-04-27
USD0.10252006-03-17
20053.45%USD 0.473USD0.09732005-09-19
USD0.129772005-06-22
USD0.122942005-05-10
USD0.122942005-01-05
20042.21%USD 0.302USD0.116112004-10-06
USD0.109282004-06-16
USD0.07682004-03-19