Guaranty Federal Bancshares Inc(GFED) USD 23.81
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.63%USD 0.15USD0.152022-01-10
20212.52%USD 0.6USD0.152021-10-08
USD0.152021-07-02
USD0.152021-04-01
USD0.152021-01-04
20202.52%USD 0.6USD0.152020-10-05
USD0.152020-07-06
USD0.152020-04-06
USD0.152020-01-03
20192.18%USD 0.52USD0.132019-10-07
USD0.132019-07-05
USD0.132019-04-08
USD0.132019-01-03
20182.02%USD 0.48USD0.122018-10-05
USD0.122018-07-06
USD0.122018-04-06
USD0.122018-01-02
20171.26%USD 0.3USD0.12017-10-02
USD0.12017-06-29
USD0.12017-03-31
20161.43%USD 0.34USD0.12016-12-29
USD0.082016-10-05
USD0.082016-06-30
USD0.082016-03-31
20150.97%USD 0.23USD0.082015-12-31
USD0.052015-10-01
USD0.052015-07-01
USD0.052015-04-01
20140.63%USD 0.15USD0.052014-12-31
USD0.052014-10-02
USD0.052014-07-02
20082.27%USD 0.54USD0.182008-07-02
USD0.182008-04-03
USD0.182008-01-02
20072.90%USD 0.69USD0.182007-09-27
USD0.172007-06-28
USD0.172007-03-30
USD0.172007-01-03
20062.79%USD 0.665USD0.172006-09-28
USD0.1652006-06-29
USD0.1652006-03-28
USD0.1652006-01-04
20052.71%USD 0.645USD0.1652005-09-28
USD0.162005-06-29
USD0.162005-03-28
USD0.162005-01-05
20042.62%USD 0.625USD0.162004-09-29
USD0.1552004-06-29
USD0.1552004-03-26
USD0.1552004-01-07
20032.54%USD 0.605USD0.1552003-10-01
USD0.152003-06-27
USD0.152003-03-27
USD0.152003-01-08
20022.20%USD 0.525USD0.152002-10-02
USD0.1252002-07-03
USD0.252002-03-27
20012.06%USD 0.49USD0.252001-08-30
USD0.242001-03-26
20002.35%USD 0.56USD0.232000-08-31
USD0.222000-03-28
USD0.112000-02-01