Federal Realty Investment Trust(FRT) USD 97.98
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.10%USD 1.08USD1.082023-03-10
20224.39%USD 4.3USD1.082022-12-30
USD1.082022-09-21
USD1.072022-06-21
USD1.072022-03-15
20214.35%USD 4.26USD1.072021-12-31
USD1.072021-09-21
USD1.062021-06-21
USD1.062021-03-15
20204.31%USD 4.22USD1.062020-12-31
USD1.062020-09-21
USD1.052020-06-19
USD1.052020-03-13
20194.23%USD 4.14USD1.052019-12-31
USD1.052019-09-20
USD1.022019-06-20
USD1.022019-03-13
20184.12%USD 4.04USD1.022018-12-31
USD1.022018-09-20
USD12018-06-21
USD12018-03-13
20174.04%USD 3.96USD12017-12-29
USD12017-09-21
USD0.982017-06-20
USD0.982017-03-10
20163.92%USD 3.84USD0.982016-12-29
USD0.982016-09-20
USD0.942016-06-20
USD0.942016-03-16
20153.69%USD 3.62USD0.942015-12-30
USD0.942015-09-18
USD0.872015-06-18
USD0.872015-03-18
20143.37%USD 3.3USD0.872014-12-30
USD0.872014-09-18
USD0.782014-06-19
USD0.782014-03-19
20133.08%USD 3.02USD0.782013-12-30
USD0.782013-09-19
USD0.732013-06-19
USD0.732013-03-12
20122.90%USD 2.84USD0.732012-12-28
USD0.732012-09-19
USD0.692012-06-20
USD0.692012-03-15
20112.78%USD 2.72USD0.692011-12-29
USD0.692011-09-20
USD0.672011-06-21
USD0.672011-03-15
20102.71%USD 2.66USD0.672010-12-30
USD0.672010-09-21
USD0.662010-06-22
USD0.662010-03-15
20092.67%USD 2.62USD0.662009-12-30
USD0.662009-09-21
USD0.652009-06-22
USD0.652009-03-17
20082.57%USD 2.52USD0.652008-12-30
USD0.652008-09-19
USD0.612008-06-20
USD0.612008-03-17
20072.42%USD 2.37USD0.612007-12-28
USD0.612007-09-19
USD0.5752007-06-20
USD0.5752007-03-09
20062.51%USD 2.46USD0.5752006-12-28
USD0.5752006-09-20
USD0.5552006-06-21
USD0.7552006-03-10
20052.41%USD 2.359USD0.55352005-12-29
USD0.19942005-11-23
USD0.55182005-09-21
USD0.55182005-06-21
USD0.50212005-03-14
20042.02%USD 1.978USD0.50212004-12-30
USD0.50212004-09-22
USD0.48712004-06-22
USD0.48712004-03-22
20031.98%USD 1.939USD0.48712003-12-30
USD0.48712003-09-23
USD0.48222003-06-23
USD0.48222003-03-25
20021.96%USD 1.919USD0.48222002-12-30
USD0.48222002-09-24
USD0.47722002-06-21
USD0.47722002-03-21
20011.93%USD 1.889USD0.47722001-12-28
USD0.47722001-10-03
USD0.46732001-06-21
USD0.46732001-03-21
20001.87%USD 1.829USD0.46732000-12-28
USD0.46732000-09-28
USD0.44742000-06-22
USD0.44742000-03-22