Nordstrom Inc(JWN) USD 17.09
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.11%USD 0.19USD0.192023-03-13
20224.45%USD 0.76USD0.192022-11-28
USD0.192022-08-29
USD0.192022-05-27
USD0.192022-03-25
20202.17%USD 0.37USD0.372020-03-09
20198.66%USD 1.48USD0.372019-11-27
USD0.372019-08-29
USD0.372019-05-31
USD0.372019-03-08
20188.66%USD 1.48USD0.372018-11-23
USD0.372018-08-31
USD0.372018-05-17
USD0.372018-03-02
20178.66%USD 1.48USD0.372017-11-24
USD0.372017-08-24
USD0.372017-05-24
USD0.372017-02-27
20168.66%USD 1.48USD0.372016-11-23
USD0.372016-08-25
USD0.372016-05-26
USD0.372016-03-03
201537.04%USD 6.33USD0.372015-11-25
USD4.852015-10-07
USD0.372015-08-27
USD0.372015-05-27
USD0.372015-02-25
20147.72%USD 1.32USD0.332014-11-26
USD0.332014-08-28
USD0.332014-05-28
USD0.332014-03-06
20137.02%USD 1.2USD0.32013-11-27
USD0.32013-08-29
USD0.32013-05-29
USD0.32013-03-07
20126.32%USD 1.08USD0.272012-11-28
USD0.272012-08-30
USD0.272012-05-29
USD0.272012-02-28
20115.38%USD 0.92USD0.232011-11-28
USD0.232011-09-01
USD0.232011-05-26
USD0.232011-03-02
20104.45%USD 0.76USD0.22010-11-26
USD0.22010-08-27
USD0.22010-05-26
USD0.162010-02-24
20093.74%USD 0.64USD0.162009-11-25
USD0.162009-08-27
USD0.162009-05-27
USD0.162009-02-25
20083.74%USD 0.64USD0.162008-11-25
USD0.162008-08-27
USD0.162008-05-28
USD0.162008-02-27
20072.95%USD 0.504USD0.12612007-11-28
USD0.12612007-08-29
USD0.12612007-05-29
USD0.12612007-02-26
20062.29%USD 0.392USD0.0982006-11-28
USD0.0982006-08-29
USD0.0982006-05-26
USD0.0982006-02-24
20051.75%USD 0.299USD0.07942005-11-28
USD0.07942005-08-29
USD0.07942005-05-26
USD0.06072005-02-24
20041.31%USD 0.224USD0.06072004-11-26
USD0.06072004-08-27
USD0.05142004-05-26
USD0.05142004-02-25
20031.12%USD 0.192USD0.05142003-11-25
USD0.04672003-08-27
USD0.04672003-05-28
USD0.04672003-02-26
20021.04%USD 0.177USD0.04672002-11-26
USD0.04672002-08-28
USD0.0422002-05-29
USD0.0422002-02-26
20010.98%USD 0.168USD0.0422001-11-28
USD0.0422001-08-29
USD0.0422001-05-29
USD0.0422001-02-26
20000.96%USD 0.163USD0.0422000-11-28
USD0.0422000-08-29
USD0.0422000-05-26
USD0.03742000-02-25