Selective Insurance Group Inc(SIGI) USD 95.86
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.31%USD 0.3USD0.32023-02-14
20221.19%USD 1.14USD0.32022-11-14
USD0.282022-08-12
USD0.282022-05-13
USD0.282022-02-14
20211.07%USD 1.03USD0.282021-11-12
USD0.252021-08-12
USD0.252021-05-13
USD0.252021-02-11
20200.98%USD 0.94USD0.252020-11-12
USD0.232020-08-13
USD0.232020-05-15
USD0.232020-02-13
20190.87%USD 0.83USD0.232019-11-14
USD0.22019-08-14
USD0.22019-05-14
USD0.22019-02-14
20180.77%USD 0.74USD0.22018-11-14
USD0.182018-08-14
USD0.182018-05-14
USD0.182018-02-14
20170.69%USD 0.66USD0.182017-11-14
USD0.162017-08-11
USD0.162017-05-11
USD0.162017-02-13
20160.64%USD 0.61USD0.162016-11-10
USD0.152016-08-11
USD0.152016-05-12
USD0.152016-02-11
20150.59%USD 0.57USD0.152015-11-10
USD0.142015-08-12
USD0.142015-05-13
USD0.142015-02-11
20140.55%USD 0.53USD0.142014-11-12
USD0.132014-08-13
USD0.132014-05-13
USD0.132014-02-12
20130.54%USD 0.52USD0.132013-11-13
USD0.132013-08-13
USD0.132013-05-13
USD0.132013-02-13
20120.54%USD 0.52USD0.132012-11-13
USD0.132012-08-13
USD0.132012-05-11
USD0.132012-02-13
20110.54%USD 0.52USD0.132011-11-10
USD0.132011-08-11
USD0.132011-05-11
USD0.132011-02-11
20100.54%USD 0.52USD0.132010-11-09
USD0.132010-08-11
USD0.132010-05-12
USD0.132010-02-10
20090.54%USD 0.52USD0.132009-11-10
USD0.132009-08-12
USD0.132009-05-13
USD0.132009-02-11
20080.54%USD 0.52USD0.132008-11-12
USD0.132008-08-13
USD0.132008-05-13
USD0.132008-02-13
20070.51%USD 0.49USD0.132007-11-13
USD0.122007-08-13
USD0.122007-05-11
USD0.122007-02-09
20060.46%USD 0.44USD0.112006-11-13
USD0.112006-08-11
USD0.112006-05-11
USD0.112006-02-13
20050.41%USD 0.395USD0.112005-11-10
USD0.0952005-08-11
USD0.0952005-05-12
USD0.0952005-02-11
20040.37%USD 0.35USD0.0952004-11-10
USD0.0852004-08-12
USD0.0852004-05-06
USD0.0852004-02-12
20030.32%USD 0.31USD0.0852003-11-13
USD0.0752003-08-14
USD0.0752003-05-15
USD0.0752003-02-13
20020.31%USD 0.3USD0.0752002-11-14
USD0.0752002-08-15
USD0.0752002-05-16
USD0.0752002-02-14
20010.31%USD 0.3USD0.0752001-11-15
USD0.0752001-08-16
USD0.0752001-05-11
USD0.0752001-02-15
20000.31%USD 0.3USD0.0752000-11-13
USD0.0752000-08-11
USD0.0752000-05-11
USD0.0752000-02-11