Ingles Markets Incorporated(IMKTA) USD 91.25
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.36%USD 0.33USD0.1652023-04-05
USD0.1652023-01-05
20220.72%USD 0.66USD0.1652022-10-05
USD0.1652022-07-06
USD0.1652022-04-06
USD0.1652022-01-05
20210.72%USD 0.66USD0.1652021-10-06
USD0.1652021-07-07
USD0.1652021-04-07
USD0.1652021-01-06
20200.72%USD 0.66USD0.1652020-10-07
USD0.1652020-07-08
USD0.1652020-04-08
USD0.1652020-01-08
20190.72%USD 0.66USD0.1652019-10-09
USD0.1652019-07-10
USD0.1652019-04-10
USD0.1652019-01-09
20180.72%USD 0.66USD0.1652018-10-10
USD0.1652018-07-11
USD0.1652018-04-11
USD0.1652018-01-10
20170.72%USD 0.66USD0.1652017-10-11
USD0.1652017-07-03
USD0.1652017-04-04
USD0.1652017-01-04
20160.72%USD 0.66USD0.1652016-10-04
USD0.1652016-07-05
USD0.1652016-04-05
USD0.1652016-01-05
20150.72%USD 0.66USD0.1652015-10-06
USD0.1652015-07-07
USD0.1652015-04-07
USD0.1652015-01-06
20140.72%USD 0.66USD0.1652014-10-07
USD0.1652014-07-08
USD0.1652014-04-08
USD0.1652014-01-07
20130.54%USD 0.495USD0.1652013-10-08
USD0.1652013-07-09
USD0.1652013-04-09
20121.60%USD 1.461USD0.8252012-12-19
USD0.1592012-10-09
USD0.1592012-07-02
USD0.1592012-04-03
USD0.1592012-01-04
20110.70%USD 0.636USD0.1592011-10-04
USD0.1592011-07-05
USD0.1592011-04-05
USD0.1592011-01-04
20100.88%USD 0.807USD0.1592010-10-05
USD0.332010-07-06
USD0.1592010-04-06
USD0.1592010-01-05
20090.70%USD 0.636USD0.1592009-10-06
USD0.1592009-07-07
USD0.1592009-04-07
USD0.1592009-01-06
20080.70%USD 0.636USD0.1592008-10-07
USD0.1592008-07-08
USD0.1592008-04-08
USD0.1592008-01-10
20070.70%USD 0.636USD0.1592007-10-11
USD0.1592007-07-10
USD0.1592007-04-10
USD0.1592007-01-11
20060.70%USD 0.636USD0.1592006-10-10
USD0.1592006-07-03
USD0.1592006-04-06
USD0.1592006-01-04
20050.52%USD 0.477USD0.1592005-10-04
USD0.1592005-06-24
USD0.1592005-04-07
20040.70%USD 0.636USD0.1592004-12-30
USD0.1592004-09-24
USD0.1592004-06-25
USD0.1592004-03-25
20030.87%USD 0.795USD0.1592003-12-31
USD0.1592003-09-26
USD0.1592003-06-27
USD0.1592003-03-27
USD0.1592003-01-02
20020.70%USD 0.636USD0.1592002-09-27
USD0.1592002-06-27
USD0.1592002-03-27
USD0.1592002-01-03
20010.70%USD 0.636USD0.1592001-09-27
USD0.1592001-06-28
USD0.1592001-03-29
USD0.1592001-01-04
20000.70%USD 0.636USD0.1592000-09-28
USD0.1592000-06-29
USD0.1592000-03-31
USD0.1592000-01-05