Motorola Solutions Inc(MSI) USD 290.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.30%USD 0.88USD0.882023-03-14
20221.12%USD 3.25USD0.882022-12-14
USD0.792022-09-14
USD0.792022-06-14
USD0.792022-03-14
20211.01%USD 2.92USD0.792021-12-14
USD0.712021-09-14
USD0.712021-06-14
USD0.712021-03-12
20200.91%USD 2.63USD0.712020-12-14
USD0.642020-09-14
USD0.642020-06-12
USD0.642020-03-12
20190.81%USD 2.35USD0.642019-12-12
USD0.572019-09-12
USD0.572019-06-13
USD0.572019-03-14
20180.73%USD 2.13USD0.572018-12-13
USD0.522018-09-13
USD0.522018-06-14
USD0.522018-03-14
20170.66%USD 1.93USD0.522017-12-14
USD0.472017-09-14
USD0.472017-06-13
USD0.472017-03-13
20160.59%USD 1.7USD0.472016-12-13
USD0.412016-09-13
USD0.412016-06-13
USD0.412016-03-11
20150.49%USD 1.43USD0.412015-12-11
USD0.342015-09-11
USD0.342015-06-11
USD0.342015-03-11
20140.45%USD 1.3USD0.342014-12-11
USD0.342014-09-11
USD0.312014-06-11
USD0.312014-03-12
20130.39%USD 1.14USD0.312013-12-11
USD0.312013-09-11
USD0.262013-06-12
USD0.262013-03-13
20120.33%USD 0.96USD0.262012-12-12
USD0.262012-09-12
USD0.222012-06-13
USD0.222012-03-13
20110.15%USD 0.44USD0.222011-12-13
USD0.222011-09-13
20080.28%USD 0.809USD0.202132008-12-11
USD0.202132008-09-11
USD0.202132008-06-12
USD0.202132008-03-12
20070.28%USD 0.809USD0.202132007-12-12
USD0.202132007-09-12
USD0.202132007-06-13
USD0.202132007-03-13
20060.26%USD 0.768USD0.202132006-12-13
USD0.202132006-09-13
USD0.202132006-06-13
USD0.16172006-03-13
20050.22%USD 0.647USD0.16172005-12-13
USD0.16172005-09-13
USD0.16172005-06-13
USD0.16172005-03-11
20040.21%USD 0.596USD0.16172004-12-13
USD0.144722004-09-13
USD0.144722004-06-14
USD0.144722004-03-11
20030.20%USD 0.579USD0.144722003-12-11
USD0.144722003-09-11
USD0.144722003-06-11
USD0.144722003-03-12
20020.20%USD 0.579USD0.144722002-12-12
USD0.144722002-09-11
USD0.144722002-06-12
USD0.144722002-03-13
20010.30%USD 0.859USD0.144722001-12-12
USD0.144722001-09-17
USD0.282001-09-12
USD0.144722001-06-13
USD0.144722001-03-13
20000.20%USD 0.579USD0.144722000-12-13
USD0.144722000-09-13
USD0.144722000-06-13
USD0.144722000-03-13