Universal Health Realty Income Trust(UHT) USD 46.71
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.53%USD 0.715USD0.7152023-03-17
20226.08%USD 2.84USD0.7152022-12-15
USD0.712022-09-16
USD0.712022-06-16
USD0.7052022-03-18
20215.99%USD 2.8USD0.7052021-12-14
USD0.72021-09-17
USD0.72021-06-15
USD0.6952021-03-16
20205.91%USD 2.76USD0.6952020-12-16
USD0.692020-09-15
USD0.692020-06-15
USD0.6852020-03-16
20195.82%USD 2.72USD0.6852019-12-17
USD0.682019-09-13
USD0.682019-06-21
USD0.6752019-03-18
20185.74%USD 2.68USD0.6752018-12-18
USD0.672018-09-14
USD0.672018-06-22
USD0.6652018-03-23
20175.65%USD 2.64USD0.6652017-12-15
USD0.662017-09-15
USD0.662017-06-15
USD0.6552017-03-16
20165.57%USD 2.6USD0.6552016-12-14
USD0.652016-09-15
USD0.652016-06-16
USD0.6452016-03-14
20155.48%USD 2.56USD0.6452015-12-17
USD0.642015-09-17
USD0.642015-06-15
USD0.6352015-03-13
20145.39%USD 2.52USD0.6352014-12-15
USD0.632014-09-12
USD0.632014-06-19
USD0.6252014-03-13
20135.34%USD 2.495USD0.6252013-12-17
USD0.6252013-09-12
USD0.6252013-06-13
USD0.622013-03-14
20125.27%USD 2.46USD0.622012-12-13
USD0.6152012-09-13
USD0.6152012-06-14
USD0.612012-03-13
20115.19%USD 2.425USD0.612011-12-15
USD0.6052011-09-15
USD0.6052011-06-14
USD0.6052011-03-14
20105.17%USD 2.415USD0.6052010-12-14
USD0.6052010-09-14
USD0.6052010-06-14
USD0.62010-03-17
20095.10%USD 2.38USD0.62009-12-14
USD0.5952009-09-14
USD0.5952009-06-12
USD0.592009-03-13
20085.01%USD 2.34USD0.592008-12-11
USD0.5852008-09-11
USD0.5852008-06-12
USD0.582008-03-13
20074.92%USD 2.3USD0.582007-12-13
USD0.5752007-09-13
USD0.5752007-06-13
USD0.572007-03-14
20064.84%USD 2.26USD0.572006-12-13
USD0.5652006-09-13
USD0.5652006-06-13
USD0.562006-03-14
20054.66%USD 2.175USD0.562005-12-14
USD0.5552005-09-13
USD0.5552005-05-12
USD0.5052005-03-14
20044.28%USD 2USD0.5052004-12-14
USD0.52004-09-13
USD0.52004-06-14
USD0.4952004-03-17
20034.20%USD 1.96USD0.4952003-12-15
USD0.492003-09-12
USD0.492003-06-12
USD0.4852003-03-13
20024.11%USD 1.92USD0.4852002-12-13
USD0.482002-09-12
USD0.482002-06-12
USD0.4752002-03-14
20014.01%USD 1.875USD0.4752001-12-13
USD0.472001-09-12
USD0.4652001-06-13
USD0.4652001-03-14
20003.94%USD 1.84USD0.4652000-12-13
USD0.462000-09-15
USD0.462000-06-13
USD0.4552000-03-15