Finward Bancorp(FNWD) USD 31.3339
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.99%USD 0.31USD0.312023-03-23
20223.96%USD 1.24USD0.312022-12-27
USD0.312022-09-27
USD0.312022-06-23
USD0.312022-03-24
20213.96%USD 1.24USD0.312021-12-28
USD0.312021-09-23
USD0.312021-06-24
USD0.312021-03-25
20203.96%USD 1.24USD0.312020-12-24
USD0.312020-09-24
USD0.312020-06-25
USD0.312020-03-26
20193.93%USD 1.23USD0.312019-12-26
USD0.312019-09-26
USD0.312019-06-27
USD0.32019-03-28
20183.80%USD 1.19USD0.32018-12-27
USD0.32018-09-27
USD0.32018-06-28
USD0.292018-03-28
20173.67%USD 1.15USD0.292017-12-28
USD0.292017-09-28
USD0.292017-06-28
USD0.282017-03-29
20163.54%USD 1.11USD0.282016-12-28
USD0.282016-09-21
USD0.282016-06-22
USD0.272016-03-22
20153.38%USD 1.06USD0.272015-12-23
USD0.272015-09-23
USD0.272015-06-30
USD0.252015-03-25
20143.10%USD 0.97USD0.252014-12-23
USD0.252014-09-24
USD0.252014-06-25
USD0.222014-03-26
20132.71%USD 0.85USD0.222013-12-24
USD0.222013-09-25
USD0.222013-06-26
USD0.192013-03-26
20122.30%USD 0.72USD0.192012-12-26
USD0.192012-09-26
USD0.192012-06-27
USD0.152012-03-28
20111.91%USD 0.6USD0.152011-12-28
USD0.152011-09-28
USD0.152011-06-28
USD0.152011-03-24
20102.30%USD 0.72USD0.152010-12-28
USD0.152010-09-30
USD0.212010-06-16
USD0.212010-03-18
20093.86%USD 1.21USD0.212009-12-23
USD0.322009-09-16
USD0.322009-06-17
USD0.362009-03-18
20084.60%USD 1.44USD0.362008-12-17
USD0.362008-09-17
USD0.362008-06-18
USD0.362008-03-18
20074.60%USD 1.44USD0.362007-12-19
USD0.362007-09-19
USD0.362007-06-20
USD0.362007-03-21
20064.47%USD 1.4USD0.352006-12-20
USD0.352006-09-20
USD0.352006-06-21
USD0.352006-03-22
20054.21%USD 1.32USD0.332005-12-21
USD0.332005-09-21
USD0.332005-06-22
USD0.332005-03-22
20043.96%USD 1.24USD0.312004-12-21
USD0.312004-09-22
USD0.312004-06-24
USD0.312004-03-24
20033.83%USD 1.2USD0.32003-12-23
USD0.32003-09-24
USD0.32003-06-25
USD0.32003-03-26
20023.57%USD 1.12USD0.282002-12-24
USD0.282002-09-25
USD0.282002-06-26
USD0.282002-03-26
20013.32%USD 1.04USD0.262001-12-26
USD0.262001-09-21
USD0.262001-06-27
USD0.262001-03-28
20003.06%USD 0.96USD0.242000-12-27
USD0.242000-09-27
USD0.242000-06-28
USD0.242000-03-29