Procter & Gamble Company(PG) USD 151.21
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.60%USD 0.913USD0.91332023-01-19
20222.39%USD 3.61USD0.91332022-10-20
USD0.91332022-07-21
USD0.91332022-04-21
USD0.86982022-01-20
20212.25%USD 3.4USD0.86982021-10-21
USD0.86982021-07-22
USD0.86982021-04-22
USD0.79072021-01-21
20202.06%USD 3.118USD0.79072020-10-22
USD0.79072020-07-23
USD0.79072020-04-23
USD0.74592020-01-23
20191.95%USD 2.955USD0.74592019-10-17
USD0.74592019-07-18
USD0.74592019-04-17
USD0.71722019-01-17
20181.88%USD 2.841USD0.71722018-10-18
USD0.71722018-07-19
USD0.71722018-04-19
USD0.68962018-01-18
20171.81%USD 2.738USD0.68962017-10-19
USD0.68962017-07-19
USD0.68962017-04-19
USD0.66952017-01-18
20161.77%USD 2.671USD0.66952016-10-19
USD0.66952016-07-20
USD0.66952016-04-14
USD0.66292016-01-20
20151.74%USD 2.632USD0.66292015-10-21
USD0.66292015-07-22
USD0.66292015-04-23
USD0.64362015-01-21
20141.67%USD 2.532USD0.64362014-10-22
USD0.64362014-07-16
USD0.64362014-04-23
USD0.60152014-01-22
20131.57%USD 2.367USD0.60152013-10-16
USD0.60152013-07-17
USD0.60152013-04-24
USD0.5622013-01-16
20121.46%USD 2.211USD0.5622012-10-17
USD0.5622012-07-18
USD0.5622012-04-25
USD0.5252012-01-18
20111.36%USD 2.057USD0.5252011-10-19
USD0.5252011-07-20
USD0.5252011-04-27
USD0.48182011-01-19
20101.25%USD 1.885USD0.48182010-10-20
USD0.48182010-07-21
USD0.48182010-04-28
USD0.442010-01-20
20091.14%USD 1.72USD0.442009-10-21
USD0.442009-07-22
USD0.442009-04-22
USD0.42009-01-21
20081.03%USD 1.55USD0.42008-10-22
USD0.42008-07-16
USD0.42008-04-16
USD0.352008-01-16
20070.90%USD 1.36USD0.352007-10-17
USD0.352007-07-18
USD0.352007-04-25
USD0.312007-01-17
20060.80%USD 1.21USD0.312006-10-18
USD0.312006-07-19
USD0.312006-04-19
USD0.282006-01-18
20050.72%USD 1.09USD0.282005-10-19
USD0.282005-07-20
USD0.282005-04-20
USD0.252005-01-19
20040.65%USD 0.978USD0.252004-10-20
USD0.252004-07-21
USD0.252004-04-21
USD0.22752004-01-21
20030.57%USD 0.865USD0.22752003-10-22
USD0.22752003-07-16
USD0.2052003-04-15
USD0.2052003-01-22
20020.75%USD 1.132USD0.2052002-10-16
USD0.2052002-07-17
USD0.3452002-06-03
USD0.18862002-04-17
USD0.18862002-01-16
20010.48%USD 0.725USD0.18862001-10-17
USD0.18862001-07-18
USD0.17372001-04-18
USD0.17372001-01-17
20000.44%USD 0.665USD0.17372000-10-18
USD0.17372000-07-19
USD0.15882000-04-18
USD0.15882000-01-19