F.N.B. Corporation(FN2) EUR 10.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.97%EUR 0.102USD0.122023-03-02
20223.87%EUR 0.407USD0.122022-12-02
USD0.122022-09-01
USD0.122022-06-02
USD0.122022-03-03
20213.87%EUR 0.407USD0.122021-12-02
USD0.122021-09-02
USD0.122021-05-28
USD0.122021-03-04
20203.87%EUR 0.407USD0.122020-12-02
USD0.122020-09-03
USD0.122020-05-29
USD0.122020-03-04
20193.87%EUR 0.407USD0.122019-12-02
USD0.122019-09-03
USD0.122019-05-30
USD0.122019-03-04
20183.87%EUR 0.407USD0.122018-11-30
USD0.122018-08-31
USD0.122018-05-31
USD0.122018-03-02
20172.91%EUR 0.305USD0.122017-11-30
USD0.122017-08-30
USD0.122017-02-28
20161.94%EUR 0.203USD0.122016-11-29
USD0.122016-08-30
20153.87%EUR 0.407USD0.122015-11-27
USD0.122015-08-28
USD0.122015-05-28
USD0.122015-02-26
20143.87%EUR 0.407USD0.122014-11-26
USD0.122014-08-28
USD0.122014-05-29
USD0.122014-02-27