Willis Towers Watson PLC(WTW) USD 238.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.35%USD 0.84USD0.842023-03-30
20221.38%USD 3.28USD0.822022-12-29
USD0.822022-09-29
USD0.822022-06-29
USD0.822022-03-30
20211.27%USD 3.02USD0.82021-12-30
USD0.82021-09-29
USD0.712021-05-27
USD0.712021-03-30
20201.15%USD 2.75USD0.712020-12-30
USD0.682020-09-29
USD0.682020-06-29
USD0.682020-03-30
20191.09%USD 2.6USD0.652019-12-30
USD0.652019-09-27
USD0.652019-06-27
USD0.652019-03-28
20181.01%USD 2.4USD0.62018-12-28
USD0.62018-09-27
USD0.62018-06-28
USD0.62018-03-28
20170.89%USD 2.12USD0.532017-12-28
USD0.532017-09-28
USD0.532017-06-28
USD0.532017-03-29
20160.81%USD 1.92USD0.482016-12-28
USD0.482016-09-28
USD0.482016-06-28
USD0.482016-03-29
20151.38%USD 3.285USD0.82122015-11-16
USD0.821192015-09-29
USD0.821192015-06-29
USD0.821192015-03-30
20141.33%USD 3.179USD0.79472014-12-30
USD0.79472014-09-29
USD0.79472014-06-27
USD0.79472014-03-28
20131.46%USD 3.492USD0.741722013-12-30
USD0.741722013-09-27
USD0.1752013-09-25
USD0.741722013-06-27
USD0.1752013-06-26
USD0.741722013-03-27
USD0.1752013-03-22
20121.49%USD 3.561USD0.715232012-12-28
USD0.1752012-12-05
USD0.715232012-09-27
USD0.1752012-09-26
USD0.715232012-06-28
USD0.1752012-06-27
USD0.1752012-04-19
USD0.71522012-03-28
20111.30%USD 3.105USD0.68872011-12-28
USD0.68872011-09-28
USD0.1752011-06-29
USD0.68872011-06-28
USD0.1752011-03-30
USD0.68872011-03-29
20101.38%USD 3.28USD0.68872010-12-29
USD0.1752010-09-29
USD0.68872010-09-28
USD0.1752010-06-30
USD0.68872010-06-28
USD0.1752010-03-30
USD0.68872010-03-29
20091.45%USD 3.455USD0.1752009-12-29
USD0.68872009-12-28
USD0.1752009-09-30
USD0.68872009-09-28
USD0.1752009-06-30
USD0.68872009-06-26
USD0.1752009-04-01
USD0.68872009-03-27
20081.45%USD 3.455USD0.1752008-12-30
USD0.68872008-12-29
USD0.68872008-09-26
USD0.1752008-09-24
USD0.68872008-06-26
USD0.1752008-06-25
USD0.68872008-03-27
USD0.1752008-03-26
20071.18%USD 2.824USD0.66222007-12-27
USD0.1752007-12-26
USD0.66222007-09-26
USD0.66222007-06-27
USD0.66222007-03-28
20061.12%USD 2.665USD0.62252006-12-27
USD0.62252006-09-27
USD0.62252006-06-28
USD0.62252006-03-29
USD0.1752006-03-22
20050.96%USD 2.278USD0.56952005-12-28
USD0.56952005-09-28
USD0.56952005-06-28
USD0.56952005-03-29
20040.83%USD 1.987USD0.49672004-12-29
USD0.49672004-09-28
USD0.49672004-06-28
USD0.49672004-03-29
20030.64%USD 1.523USD0.43052003-12-29
USD0.43052003-09-26
USD0.33112003-06-26
USD0.33112003-03-27