Corning Incorporated(GLW) USD 34.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.81%USD 0.28USD0.282023-02-27
20223.13%USD 1.08USD0.272022-11-17
USD0.272022-08-30
USD0.272022-05-27
USD0.272022-02-25
20212.78%USD 0.96USD0.242021-11-10
USD0.242021-08-30
USD0.242021-05-27
USD0.242021-02-25
20202.55%USD 0.88USD0.222020-11-12
USD0.222020-08-27
USD0.222020-05-28
USD0.222020-02-27
20192.32%USD 0.8USD0.22019-11-14
USD0.22019-08-29
USD0.22019-05-30
USD0.22019-02-27
20182.09%USD 0.72USD0.182018-11-15
USD0.182018-08-30
USD0.182018-05-30
USD0.182018-02-27
20171.80%USD 0.62USD0.1552017-11-15
USD0.1552017-08-29
USD0.1552017-05-26
USD0.1552017-02-24
20161.57%USD 0.54USD0.1352016-11-15
USD0.1352016-08-29
USD0.1352016-05-26
USD0.1352016-02-23
20151.39%USD 0.48USD0.122015-11-10
USD0.122015-08-27
USD0.122015-05-27
USD0.122015-02-25
20141.16%USD 0.4USD0.12014-11-12
USD0.12014-08-27
USD0.12014-05-28
USD0.12014-02-26
20131.13%USD 0.39USD0.12013-11-13
USD0.12013-08-28
USD0.12013-05-29
USD0.092013-02-26
20120.91%USD 0.315USD0.092012-11-14
USD0.0752012-08-29
USD0.0752012-05-29
USD0.0752012-02-27
20110.65%USD 0.225USD0.0752011-11-14
USD0.052011-08-29
USD0.052011-05-26
USD0.052011-02-24
20100.58%USD 0.2USD0.052010-11-15
USD0.052010-08-26
USD0.052010-05-26
USD0.052010-02-24
20090.58%USD 0.2USD0.052009-11-12
USD0.052009-08-27
USD0.052009-05-28
USD0.052009-02-26
20080.58%USD 0.2USD0.052008-11-13
USD0.052008-08-27
USD0.052008-05-29
USD0.052008-02-28
20070.29%USD 0.1USD0.052007-11-13
USD0.052007-08-27
20010.35%USD 0.12USD0.062001-05-31
USD0.062001-03-01
20000.70%USD 0.24USD0.062000-12-14
USD0.062000-08-31
USD0.062000-06-01
USD0.062000-03-02