Financial Institutions Inc(FISI) USD 17.93
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.67%USD 0.3USD0.32023-03-15
20226.47%USD 1.16USD0.292022-12-15
USD0.292022-09-15
USD0.292022-06-16
USD0.292022-03-17
20216.02%USD 1.08USD0.272021-12-16
USD0.272021-09-16
USD0.272021-06-17
USD0.272021-03-18
20205.80%USD 1.04USD0.262020-12-18
USD0.262020-09-10
USD0.262020-06-11
USD0.262020-03-18
20195.58%USD 1USD0.252019-12-12
USD0.252019-09-12
USD0.252019-06-13
USD0.252019-03-14
20185.35%USD 0.96USD0.242018-12-12
USD0.242018-09-12
USD0.242018-06-13
USD0.242018-03-14
20174.74%USD 0.85USD0.222017-12-13
USD0.212017-09-13
USD0.212017-06-12
USD0.212017-03-10
20164.52%USD 0.81USD0.212016-12-08
USD0.22016-09-08
USD0.22016-06-09
USD0.22016-03-11
20154.46%USD 0.8USD0.22015-12-08
USD0.22015-09-08
USD0.22015-06-09
USD0.22015-03-10
20144.29%USD 0.77USD0.22014-12-10
USD0.192014-09-10
USD0.192014-06-11
USD0.192014-03-11
20134.13%USD 0.74USD0.192013-12-10
USD0.192013-09-10
USD0.182013-06-11
USD0.182013-03-12
20123.18%USD 0.57USD0.162012-12-13
USD0.142012-09-10
USD0.142012-06-11
USD0.132012-03-12
20112.62%USD 0.47USD0.132011-12-12
USD0.122011-09-14
USD0.122011-06-15
USD0.12011-03-03
20102.23%USD 0.4USD0.12010-12-09
USD0.12010-09-09
USD0.12010-06-10
USD0.12010-03-11
20092.23%USD 0.4USD0.12009-12-11
USD0.12009-09-14
USD0.12009-06-11
USD0.12009-03-12
20083.01%USD 0.54USD0.12008-12-11
USD0.152008-09-11
USD0.152008-06-12
USD0.142008-03-13
20072.57%USD 0.46USD0.132007-12-13
USD0.122007-09-12
USD0.112007-06-13
USD0.12007-03-14
20061.90%USD 0.34USD0.092006-12-13
USD0.092006-09-13
USD0.082006-06-13
USD0.082006-03-13
20052.23%USD 0.4USD0.082005-12-15
USD0.082005-09-15
USD0.082005-06-16
USD0.162005-03-16
20043.57%USD 0.64USD0.162004-12-16
USD0.162004-09-23
USD0.162004-06-17
USD0.162004-03-18
20033.57%USD 0.64USD0.162003-12-15
USD0.162003-09-15
USD0.162003-06-13
USD0.162003-03-10
20023.23%USD 0.58USD0.162002-12-16
USD0.152002-09-12
USD0.142002-06-17
USD0.132002-03-14
20012.68%USD 0.48USD0.132001-12-12
USD0.122001-09-12
USD0.122001-06-13
USD0.112001-03-14
20002.34%USD 0.42USD0.112000-12-13
USD0.112000-09-13
USD0.12000-06-14
USD0.12000-03-15