Fortive Corporation(F03) EUR 61.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.10%EUR 0.059USD0.072023-02-23
20220.39%EUR 0.237USD0.072022-11-29
USD0.072022-08-30
USD0.072022-05-26
USD0.072022-02-24
20210.39%EUR 0.237USD0.072021-11-24
USD0.072021-09-09
USD0.072021-05-27
USD0.072021-02-25
20200.39%EUR 0.237USD0.072020-11-25
USD0.072020-08-27
USD0.072020-05-28
USD0.072020-02-27
20190.39%EUR 0.237USD0.072019-11-27
USD0.072019-08-29
USD0.072019-05-30
USD0.072019-02-21
20180.39%EUR 0.237USD0.072018-11-29
USD0.072018-08-30
USD0.072018-05-24
USD0.072018-02-22
20170.29%EUR 0.178USD0.072017-11-22
USD0.072017-08-23
USD0.072017-02-22
20160.19%EUR 0.119USD0.072016-11-22
USD0.072016-08-24