Trane Technologies plc(TT) USD 176.09
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.43%USD 0.75USD0.752023-03-02
20221.52%USD 2.68USD0.672022-12-01
USD0.672022-09-01
USD0.672022-06-02
USD0.672022-03-03
20211.34%USD 2.36USD0.592021-12-02
USD0.592021-09-02
USD0.592021-06-03
USD0.592021-03-04
20201.20%USD 2.12USD0.532020-12-03
USD0.532020-09-03
USD0.532020-06-04
USD0.532020-03-12
20190.93%USD 1.645USD0.411162019-12-05
USD0.411162019-09-05
USD0.411162019-06-06
USD0.411162019-03-07
20180.86%USD 1.521USD0.411162018-12-06
USD0.411162018-09-06
USD0.34912018-06-07
USD0.34912018-03-08
20170.75%USD 1.319USD0.34912017-12-07
USD0.34912017-09-07
USD0.310312017-06-07
USD0.310312017-03-08
20160.60%USD 1.055USD0.310312016-12-07
USD0.248252016-09-07
USD0.248252016-06-08
USD0.248252016-03-09
20150.51%USD 0.9USD0.224972015-12-09
USD0.224972015-09-09
USD0.224972015-06-10
USD0.224972015-03-11
20140.44%USD 0.776USD0.193942014-12-10
USD0.193942014-09-10
USD0.193942014-06-11
USD0.193942014-03-12
20130.30%USD 0.52USD0.130042013-10-30
USD0.130042013-09-11
USD0.130042013-06-12
USD0.130042013-03-08
20120.23%USD 0.396USD0.099072012-12-12
USD0.099072012-09-11
USD0.099072012-06-14
USD0.099072012-03-08
20110.15%USD 0.266USD0.074312011-12-12
USD0.074312011-09-09
USD0.074312011-06-15
USD0.043352011-03-09
20100.10%USD 0.173USD0.043352010-12-10
USD0.043352010-09-10
USD0.043352010-06-10
USD0.043352010-02-12
20090.18%USD 0.31USD0.043352009-11-10
USD0.043352009-08-14
USD0.111462009-05-12
USD0.111462009-02-11
20080.25%USD 0.446USD0.111462008-11-12
USD0.111462008-08-13
USD0.111462008-05-13
USD0.111462008-02-13
20070.25%USD 0.446USD0.111462007-11-08
USD0.111462007-08-13
USD0.111462007-05-11
USD0.111462007-02-14
20060.24%USD 0.421USD0.111462006-11-09
USD0.111462006-08-11
USD0.099072006-05-12
USD0.099072006-02-10
20050.20%USD 0.353USD0.099072005-11-09
USD0.099072005-08-12
USD0.07742005-05-12
USD0.07742005-02-11
20040.15%USD 0.272USD0.07742004-11-10
USD0.07742004-08-13
USD0.058832004-05-13
USD0.058832004-02-12
20030.13%USD 0.223USD0.058832003-11-13
USD0.058832003-08-14
USD0.052632003-05-13
USD0.052632003-02-13
20020.12%USD 0.211USD0.052632002-11-14
USD0.052632002-08-15
USD0.052632002-05-16
USD0.052632002-02-14
20010.12%USD 0.211USD0.052632001-11-13
USD0.052632001-08-14
USD0.052632001-05-14
USD0.052632001-02-15
20000.12%USD 0.211USD0.052632000-11-13
USD0.052632000-08-14
USD0.052632000-05-12
USD0.052632000-02-11