Huntington Bancshares Incorporated(HBAN) USD 11.6
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.34%USD 0.155USD0.1552023-03-17
20225.34%USD 0.62USD0.1552022-12-16
USD0.1552022-09-16
USD0.1552022-06-16
USD0.1552022-03-17
20215.22%USD 0.605USD0.1552021-12-16
USD0.152021-09-16
USD0.152021-06-16
USD0.152021-03-17
20205.17%USD 0.6USD0.152020-12-17
USD0.152020-09-16
USD0.152020-06-16
USD0.152020-03-17
20195.00%USD 0.58USD0.152019-12-17
USD0.152019-09-16
USD0.142019-06-14
USD0.142019-03-15
20184.31%USD 0.5USD0.142018-12-17
USD0.142018-09-14
USD0.112018-06-15
USD0.112018-03-16
20173.02%USD 0.35USD0.112017-12-15
USD0.082017-09-15
USD0.082017-06-15
USD0.082017-03-16
20162.50%USD 0.29USD0.082016-12-16
USD0.072016-09-15
USD0.072016-06-15
USD0.072016-03-16
20152.16%USD 0.25USD0.072015-12-17
USD0.062015-09-15
USD0.062015-06-15
USD0.062015-03-16
20141.81%USD 0.21USD0.062014-12-17
USD0.052014-09-15
USD0.052014-06-13
USD0.052014-03-14
20131.64%USD 0.19USD0.052013-12-17
USD0.052013-09-13
USD0.052013-06-13
USD0.042013-03-14
20121.38%USD 0.16USD0.042012-12-14
USD0.042012-09-13
USD0.042012-06-14
USD0.042012-03-15
20110.86%USD 0.1USD0.042011-12-16
USD0.042011-09-15
USD0.012011-06-15
USD0.012011-03-16
20100.34%USD 0.04USD0.012010-12-16
USD0.012010-09-15
USD0.012010-06-15
USD0.012010-03-16
20090.34%USD 0.04USD0.012009-12-16
USD0.012009-09-09
USD0.012009-06-10
USD0.012009-03-11
20085.71%USD 0.663USD0.13252008-12-10
USD0.13252008-09-10
USD0.13252008-06-11
USD0.2652008-03-12
20079.14%USD 1.06USD0.2652007-12-12
USD0.2652007-09-12
USD0.2652007-06-13
USD0.2652007-03-13
20068.62%USD 1USD0.252006-12-13
USD0.252006-09-13
USD0.252006-06-14
USD0.252006-03-15
20057.28%USD 0.845USD0.2152005-12-14
USD0.2152005-09-14
USD0.2152005-06-14
USD0.22005-03-15
20046.47%USD 0.75USD0.22004-12-15
USD0.22004-09-15
USD0.1752004-06-16
USD0.1752004-03-17
20035.78%USD 0.67USD0.1752003-12-17
USD0.1752003-09-17
USD0.162003-06-12
USD0.162003-03-17
20025.52%USD 0.64USD0.162002-12-18
USD0.162002-09-18
USD0.162002-06-12
USD0.162002-03-13
20016.21%USD 0.72USD0.162001-12-13
USD0.162001-09-13
USD0.22001-06-13
USD0.22001-03-14
20006.58%USD 0.764USD0.22000-12-13
USD0.22000-09-13
USD0.18182000-06-14
USD0.18182000-03-14