S&P Global Inc(SPGI) USD 352.17
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.26%USD 0.9USD0.92023-02-23
20220.94%USD 3.32USD0.852022-11-25
USD0.852022-08-25
USD0.852022-05-26
USD0.772022-02-09
20210.87%USD 3.08USD0.772021-11-24
USD0.772021-08-25
USD0.772021-05-25
USD0.772021-02-23
20200.76%USD 2.68USD0.672020-11-24
USD0.672020-08-25
USD0.672020-05-26
USD0.672020-02-25
20190.65%USD 2.28USD0.572019-11-25
USD0.572019-08-26
USD0.572019-05-28
USD0.572019-02-25
20180.57%USD 2USD0.52018-11-27
USD0.52018-08-27
USD0.52018-05-25
USD0.52018-02-23
20170.47%USD 1.64USD0.412017-11-27
USD0.412017-08-24
USD0.412017-05-24
USD0.412017-02-22
20160.41%USD 1.44USD0.362016-11-23
USD0.362016-08-24
USD0.362016-05-24
USD0.362016-02-23
20150.37%USD 1.32USD0.332015-11-23
USD0.332015-08-24
USD0.332015-05-22
USD0.332015-02-23
20140.34%USD 1.2USD0.32014-11-21
USD0.32014-08-22
USD0.32014-05-23
USD0.32014-02-24
20130.32%USD 1.12USD0.282013-11-22
USD0.282013-08-23
USD0.282013-05-24
USD0.282013-02-22
20121.00%USD 3.52USD2.52012-12-14
USD0.2552012-11-26
USD0.2552012-08-24
USD0.2552012-05-24
USD0.2552012-02-23
20110.28%USD 1USD0.252011-11-23
USD0.252011-08-24
USD0.252011-05-24
USD0.252011-02-22
20100.27%USD 0.94USD0.2352010-11-23
USD0.2352010-08-24
USD0.2352010-05-24
USD0.2352010-02-22
20090.26%USD 0.9USD0.2252009-11-23
USD0.2252009-08-24
USD0.2252009-05-22
USD0.2252009-02-23
20080.25%USD 0.88USD0.222008-11-21
USD0.222008-08-22
USD0.222008-05-23
USD0.222008-02-25
20070.22%USD 0.783USD0.19572007-11-26
USD0.19572007-08-24
USD0.19572007-05-24
USD0.19572007-02-22
20060.20%USD 0.693USD0.17322006-11-24
USD0.17322006-08-24
USD0.17322006-05-24
USD0.17322006-02-22
20050.16%USD 0.556USD0.15752005-11-23
USD0.15752005-08-24
USD0.0832005-05-24
USD0.15752005-02-22
20040.16%USD 0.573USD0.14322004-11-23
USD0.14322004-08-24
USD0.14322004-05-24
USD0.14322004-02-23
20030.15%USD 0.516USD0.12892003-11-21
USD0.12892003-08-22
USD0.12892003-05-23
USD0.12892003-02-24
20020.14%USD 0.487USD0.12172002-11-22
USD0.12172002-08-23
USD0.12172002-05-24
USD0.12172002-02-22
20010.13%USD 0.468USD0.11692001-11-26
USD0.11692001-08-24
USD0.11692001-05-24
USD0.11692001-02-22
20000.13%USD 0.449USD0.11222000-11-24
USD0.11222000-08-24
USD0.11222000-05-24
USD0.11222000-02-23