Raven Industries Inc(RAVN) USD 57.81
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20200.67%USD 0.39USD0.132020-07-16
USD0.132020-04-09
USD0.132020-01-09
20190.90%USD 0.52USD0.132019-10-10
USD0.132019-07-12
USD0.132019-04-12
USD0.132019-01-10
20180.90%USD 0.52USD0.132018-10-11
USD0.132018-07-12
USD0.132018-04-12
USD0.132018-01-11
20170.90%USD 0.52USD0.132017-10-12
USD0.132017-07-05
USD0.132017-04-12
USD0.132017-01-04
20160.90%USD 0.52USD0.132016-10-12
USD0.132016-07-06
USD0.132016-04-13
USD0.132016-01-06
20150.90%USD 0.52USD0.132015-10-07
USD0.132015-07-08
USD0.132015-04-08
USD0.132015-01-07
20140.85%USD 0.49USD0.132014-10-08
USD0.122014-07-08
USD0.122014-04-08
USD0.122014-01-08
20130.62%USD 0.36USD0.122013-10-08
USD0.122013-07-08
USD0.122013-04-08
20120.73%USD 0.42USD0.1052012-12-12
USD0.1052012-10-05
USD0.1052012-07-06
USD0.1052012-04-05
20110.62%USD 0.36USD0.092011-12-28
USD0.092011-09-28
USD0.092011-06-28
USD0.092011-03-29
20101.62%USD 0.934USD0.082010-12-29
USD0.082010-09-28
USD0.6252010-09-13
USD0.07442010-06-28
USD0.07442010-03-29
20090.44%USD 0.256USD0.06512009-12-22
USD0.06512009-09-23
USD0.06512009-06-23
USD0.06042009-03-27
20081.48%USD 0.853USD0.06042008-12-22
USD0.6252008-10-22
USD0.05582008-09-23
USD0.05582008-06-23
USD0.05582008-03-27
20070.33%USD 0.189USD0.04722007-12-20
USD0.04722007-09-21
USD0.04722007-06-21
USD0.04722007-03-28
20060.27%USD 0.154USD0.03862006-12-20
USD0.03862006-09-21
USD0.03862006-06-22
USD0.03862006-03-23
20050.21%USD 0.12USD0.03012005-12-21
USD0.03012005-09-22
USD0.03012005-06-22
USD0.03012005-03-23
20040.70%USD 0.406USD0.02362004-12-21
USD0.02362004-09-22
USD0.02362004-06-23
USD0.31252004-04-29
USD0.02272004-03-24
20030.12%USD 0.07USD0.01862003-12-22
USD0.01862003-09-23
USD0.01652003-06-23
USD0.01652003-03-26
20020.10%USD 0.058USD0.01452002-12-20
USD0.01452002-09-23
USD0.01452002-06-21
USD0.01452002-03-26
20010.08%USD 0.048USD0.01342001-12-20
USD0.01342001-09-21
USD0.0092001-06-21
USD0.01242001-03-22
20000.08%USD 0.048USD0.01242000-12-20
USD0.01242000-09-21
USD0.01172000-06-22
USD0.01172000-03-23