First United Corporation(FUNC) USD 16.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20232.30%USD 0.38USD0.22023-04-14
USD0.182023-01-12
20223.64%USD 0.6USD0.152022-10-17
USD0.152022-07-15
USD0.152022-04-14
USD0.152022-01-13
20213.52%USD 0.58USD0.152021-10-15
USD0.152021-07-16
USD0.152021-04-16
USD0.132021-01-14
20203.15%USD 0.52USD0.132020-10-15
USD0.132020-07-16
USD0.132020-04-16
USD0.132020-01-14
20192.42%USD 0.4USD0.132019-10-15
USD0.092019-07-16
USD0.092019-04-16
USD0.092019-01-14
20181.64%USD 0.27USD0.092018-10-12
USD0.092018-07-13
USD0.092018-04-13
20100.79%USD 0.13USD0.012010-10-08
USD0.012010-07-12
USD0.012010-04-12
USD0.12010-01-11
20094.85%USD 0.8USD0.22009-10-09
USD0.22009-07-10
USD0.22009-04-09
USD0.22009-01-22
20084.85%USD 0.8USD0.22008-10-08
USD0.22008-07-10
USD0.22008-04-10
USD0.22008-01-10
20074.73%USD 0.78USD0.1952007-10-11
USD0.1952007-07-12
USD0.1952007-04-12
USD0.1952007-01-10
20064.61%USD 0.76USD0.192006-10-12
USD0.192006-07-13
USD0.192006-04-12
USD0.192006-01-11
20054.48%USD 0.74USD0.1852005-10-12
USD0.1852005-07-13
USD0.1852005-04-13
USD0.1852005-01-12
20044.36%USD 0.72USD0.182004-10-13
USD0.182004-07-14
USD0.182004-04-14
USD0.182004-01-14
20034.24%USD 0.7USD0.1752003-10-15
USD0.1752003-07-16
USD0.1752003-04-15
USD0.1752003-01-15
20024.12%USD 0.68USD0.172002-10-16
USD0.172002-07-17
USD0.172002-04-17
USD0.172002-01-16
20014.00%USD 0.66USD0.1652001-10-17
USD0.1652001-07-18
USD0.1652001-04-18
USD0.1652001-01-17
20003.88%USD 0.64USD0.162000-10-18
USD0.162000-07-18
USD0.162000-04-18
USD0.162000-01-18