Movado Group Inc(MOV) USD 26.91
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20235.02%USD 1.35USD1.352023-04-04
20225.20%USD 1.4USD0.352022-12-01
USD0.352022-09-06
USD0.352022-06-07
USD0.352022-04-05
20213.41%USD 0.917USD0.24122021-12-02
USD0.1932021-09-07
USD0.1932021-06-08
USD0.1932021-04-06
USD0.09652021-01-20
20192.87%USD 0.772USD0.1932019-12-05
USD0.1932019-09-09
USD0.1932019-06-10
USD0.1932019-04-09
20182.87%USD 0.772USD0.1932018-12-13
USD0.1932018-09-10
USD0.1932018-06-08
USD0.1932018-04-10
20171.86%USD 0.502USD0.12542017-11-30
USD0.12542017-09-08
USD0.12542017-06-02
USD0.12542017-03-29
20161.86%USD 0.502USD0.12542016-11-30
USD0.12542016-09-01
USD0.12542016-06-03
USD0.12542016-04-08
20151.58%USD 0.424USD0.10612015-12-02
USD0.10612015-09-03
USD0.10612015-06-04
USD0.10612015-04-08
20141.43%USD 0.386USD0.09652014-12-03
USD0.09652014-09-03
USD0.09652014-05-29
USD0.09652014-04-03
20130.93%USD 0.251USD0.07722013-12-04
USD0.07722013-09-04
USD0.04822013-06-06
USD0.04822013-03-28
20125.35%USD 1.44USD0.82012-12-06
USD0.04712012-09-06
USD0.04712012-06-07
USD0.52012-04-26
USD0.04622012-04-05
20110.41%USD 0.111USD0.02772011-12-09
USD0.02772011-09-08
USD0.02772011-06-09
USD0.02772011-04-14
20090.17%USD 0.046USD0.04622009-01-22
20081.10%USD 0.296USD0.0742008-10-15
USD0.0742008-07-15
USD0.0742008-04-14
USD0.0742008-01-15
20071.03%USD 0.278USD0.0742007-10-15
USD0.0742007-07-13
USD0.0742007-04-12
USD0.05552007-01-12
20060.79%USD 0.213USD0.05552006-10-13
USD0.05552006-07-12
USD0.05552006-04-11
USD0.04622006-01-17
20050.65%USD 0.176USD0.04622005-10-13
USD0.04622005-07-14
USD0.04622005-04-13
USD0.0372005-01-12
20040.52%USD 0.139USD0.0372004-10-14
USD0.0372004-07-14
USD0.0372004-04-14
USD0.02772004-01-14
20030.31%USD 0.083USD0.02772003-10-15
USD0.02772003-07-11
USD0.01392003-04-15
USD0.01392003-01-15
20020.21%USD 0.056USD0.01392002-10-15
USD0.01392002-07-11
USD0.01392002-04-17
USD0.01392002-01-15
20010.21%USD 0.056USD0.01392001-10-12
USD0.01392001-07-13
USD0.01392001-04-11
USD0.01392001-01-12
20000.17%USD 0.046USD0.01162000-10-17
USD0.01162000-07-18
USD0.01162000-04-18
USD0.01162000-01-18