United Bankshares Inc(UBSI) USD 34.1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.06%USD 0.36USD0.362023-03-09
20224.22%USD 1.44USD0.362022-12-08
USD0.362022-09-08
USD0.362022-06-09
USD0.362022-03-10
20214.13%USD 1.41USD0.362021-12-01
USD0.352021-09-09
USD0.352021-06-10
USD0.352021-03-11
20204.11%USD 1.4USD0.352020-12-10
USD0.352020-09-10
USD0.352020-06-11
USD0.352020-03-12
20194.02%USD 1.37USD0.352019-12-12
USD0.342019-09-12
USD0.342019-06-13
USD0.342019-03-07
20183.99%USD 1.36USD0.342018-12-13
USD0.342018-09-13
USD0.342018-06-07
USD0.342018-03-08
20173.90%USD 1.33USD0.342017-12-07
USD0.332017-09-07
USD0.332017-06-07
USD0.332017-03-08
20163.87%USD 1.32USD0.332016-12-07
USD0.332016-09-07
USD0.332016-06-08
USD0.332016-03-09
20153.78%USD 1.29USD0.332015-12-09
USD0.322015-09-09
USD0.322015-06-10
USD0.322015-03-11
20143.75%USD 1.28USD0.322014-12-10
USD0.322014-09-10
USD0.322014-06-11
USD0.322014-03-12
20133.67%USD 1.25USD0.322013-12-11
USD0.312013-09-11
USD0.312013-06-12
USD0.312013-03-06
20123.64%USD 1.24USD0.312012-12-12
USD0.312012-09-12
USD0.312012-06-06
USD0.312012-03-07
20113.55%USD 1.21USD0.312011-12-07
USD0.32011-09-07
USD0.32011-06-08
USD0.32011-03-09
20103.52%USD 1.2USD0.32010-12-08
USD0.32010-09-08
USD0.32010-06-09
USD0.32010-03-10
20093.43%USD 1.17USD0.32009-12-09
USD0.292009-09-09
USD0.292009-06-10
USD0.292009-03-11
20083.40%USD 1.16USD0.292008-12-10
USD0.292008-09-10
USD0.292008-06-11
USD0.292008-03-12
20073.31%USD 1.13USD0.292007-12-12
USD0.282007-09-12
USD0.282007-06-06
USD0.282007-03-07
20063.20%USD 1.09USD0.282006-12-06
USD0.272006-09-06
USD0.272006-06-07
USD0.272006-03-08
20053.08%USD 1.05USD0.272005-12-07
USD0.262005-09-07
USD0.262005-06-08
USD0.262005-03-09
20042.99%USD 1.02USD0.262004-12-08
USD0.262004-09-08
USD0.252004-06-09
USD0.252004-03-10
20032.93%USD 1USD0.252003-12-10
USD0.252003-09-10
USD0.252003-06-11
USD0.252003-03-12
20022.79%USD 0.95USD0.252002-12-11
USD0.242002-09-11
USD0.232002-06-12
USD0.232002-03-06
20012.67%USD 0.91USD0.232001-12-12
USD0.232001-09-12
USD0.232001-06-06
USD0.222001-03-07
20002.46%USD 0.84USD0.212000-12-06
USD0.212000-09-06
USD0.212000-06-07
USD0.212000-03-08