North American Financial 15 Split Corp(FNCSF) USD 3.125
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20237.25%USD 0.227USD0.113352023-02-27
USD0.113352023-01-30
202218.14%USD 0.567USD0.113352022-11-29
USD0.113352022-04-28
USD0.113352022-03-30
USD0.113352022-02-25
USD0.113352022-01-28
202143.53%USD 1.36USD0.113352021-12-30
USD0.113352021-11-29
USD0.113352021-10-28
USD0.113352021-09-29
USD0.113352021-08-30
USD0.113352021-07-29
USD0.113352021-06-29
USD0.113352021-05-27
USD0.113352021-04-29
USD0.113352021-03-30
USD0.113352021-02-25
USD0.113352021-01-28
20207.25%USD 0.227USD0.113352020-02-27
USD0.113352020-01-30
201938.97%USD 1.218USD0.113352019-12-30
USD0.113352019-11-27
USD0.113352019-10-30
USD0.113352019-09-27
USD0.113352019-07-30
USD0.113352019-06-27
USD0.113352019-05-30
USD0.113352019-04-29
USD0.08442019-03-28
USD0.113352019-02-27
USD0.113352019-01-30
201839.90%USD 1.247USD0.113352018-11-29
USD0.113352018-10-30
USD0.113352018-09-27
USD0.113352018-08-30
USD0.113352018-07-30
USD0.113352018-06-28
USD0.113352018-05-30
USD0.113352018-04-27
USD0.113352018-03-28
USD0.113352018-02-27
USD0.113352018-01-30
201740.02%USD 1.251USD0.113352017-12-28
USD0.113352017-11-29
USD0.08832017-10-30
USD0.113352017-09-28
USD0.113352017-08-29
USD0.113352017-07-27
USD0.113352017-06-28
USD0.08432017-05-29
USD0.113352017-04-26
USD0.08482017-03-29
USD0.08652017-02-24
USD0.113352017-01-27
201622.79%USD 0.712USD0.08352016-12-28
USD0.113352016-11-28
USD0.113352016-10-27
USD0.113352016-09-28
USD0.08572016-07-27
USD0.08972016-04-27
USD0.113352016-01-27
201542.58%USD 1.331USD0.113352015-12-29
USD0.113352015-11-27
USD0.08522015-11-26
USD0.113352015-10-28
USD0.113352015-09-28
USD0.113352015-08-27
USD0.0882015-07-29
USD0.09172015-06-26
USD0.113352015-05-27
USD0.113352015-04-28
USD0.09012015-03-27
USD0.09112015-02-25
USD0.09112015-01-28