Dividendenkalender Januar 1994

  • Im zahlen 536 Wertpapiere eine Dividende.
  • Der stärkste Tag im ist der mit 88 Dividenden Zahltagen.
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WertpapierEx-TagZahltagDiv.%Ausschüttung
Samstag, 1. Januar 1994
PepsiCo Inc
PepsiCo Inc
4,33 %0,08 $
Automatic Data Processing Inc
Automatic Data Processing Inc
1,99 %0,03 $
UGI Corp
UGI Corp
4,34 %0,07 $
TransAlta Corp
TransAlta Corp
2,04 %0,25 CA$
PPL Corp
PPL Corp
3,17 %0,21 $
Xerox Holdings Corp
Xerox Holdings Corp
8,99 %0,50 $
First Financial Bankshares Inc
First Financial Bankshares Inc
2,13 %0,01 $
Textron Inc
Textron Inc
0,11 %0,08 $
Imperial Oil Ltd
Imperial Oil Ltd
2,84 %0,05 CA$
Community Trust Bancorp Inc
Community Trust Bancorp Inc
3,57 %0,07 $
Zeige alle 22 Dividenden am
Sonntag, 2. Januar 1994
First Financial Corp
First Financial Corp
3,85 %0,12 $
Renasant Corp
Renasant Corp
2,45 %0,04 $
SB Financial Group Inc
SB Financial Group Inc
2,99 %0,12 $
Zeige alle 3 Dividenden am
Montag, 3. Januar 1994
Nike Inc
Nike Inc
2,56 %0,01 $
Union Pacific Corp
Union Pacific Corp
2,35 %0,07 $
Merck & Co Inc
Merck & Co Inc
4,41 %0,14 $
Morgan Stanley
Morgan Stanley
2,82 %0,03 $
Genuine Parts Co
Genuine Parts Co
3,32 %0,18 $
Evergy Inc
Evergy Inc
4,17 %0,49 $
Becton Dickinson & Co
Becton Dickinson & Co
2,43 %0,05 $
Teva Pharmaceutical Industries Ltd ADR
Teva Pharmaceutical Industries Ltd ADR
0,00 %0,01 $
Bunge Global SA
Bunge Global SA
3,43 %0,40 $
PennyMac Mortgage Investment Trust
PennyMac Mortgage Investment Trust
12,19 %0,06 $
Zeige alle 82 Dividenden am
Dienstag, 4. Januar 1994
Kimberly-Clark Corp
Kimberly-Clark Corp
3,62 %0,22 $
One Liberty Properties Inc
One Liberty Properties Inc
7,35 %0,10 $
McKesson Corp
McKesson Corp
0,39 %0,42 $
Mattel Inc
Mattel Inc
0,00 %0,03 $
Baxter International Inc
Baxter International Inc
2,15 %0,13 $
Northern Trust Corp
Northern Trust Corp
2,82 %0,06 $
Hess Corp
Hess Corp
1,48 %0,05 $
Toromont Industries Ltd
Toromont Industries Ltd
1,77 %0,01 CA$
Wipro Ltd ADR
Wipro Ltd ADR
2,32 %0,01 $
MDU Resources Group Inc
MDU Resources Group Inc
3,09 %0,08 $
Zeige alle 23 Dividenden am
Mittwoch, 5. Januar 1994
Walmart Inc
Walmart Inc
0,96 %0,01 $
Companhia De Saneamento Basico Do Estado De Sao Paulo ADR
Companhia De Saneamento Basico Do Estado De Sao Paulo ADR
3,13 %0,01 $
Chesapeake Utilities Corp
Chesapeake Utilities Corp
2,23 %0,14 $
FMM-Fonds P
FMM-Fonds P
0,00 %0,47 €
John B Sanfilippo & Son Inc
John B Sanfilippo & Son Inc
1,39 %0,05 $
Scottish American Investment Company PLC
Scottish American Investment Company PLC
2,90 %0,01 £
United Fire Group Inc
United Fire Group Inc
2,29 %0,06 $
Value and Indexed Property Income Trust PLC
Value and Indexed Property Income Trust PLC
7,08 %0,02 £
Dynamic Holdings Ltd
Dynamic Holdings Ltd
0,07 %0,10 HK$
Zeige alle 9 Dividenden am
Donnerstag, 6. Januar 1994
Micron Technology Inc
Micron Technology Inc
0,48 %0,01 $
Value Line Inc
Value Line Inc
3,30 %0,20 $
Crocodile Garments Ltd
Crocodile Garments Ltd
0,00 %0,67 HK$
Lai Sun Development Co Ltd
Lai Sun Development Co Ltd
0,00 %2,10 HK$
Zeige alle 4 Dividenden am
Freitag, 7. Januar 1994
Reckitt Benckiser Group PLC
Reckitt Benckiser Group PLC
4,25 %0,07 £
Schlumberger Ltd
Schlumberger Ltd
3,19 %0,08 $
Omnicom Group Inc
Omnicom Group Inc
3,64 %0,04 $
Unilever PLC ADR
Unilever PLC ADR
3,43 %0,05 $
PACCAR Inc
PACCAR Inc
1,39 %0,06 $
West Fraser Timber Co.Ltd
West Fraser Timber Co.Ltd
1,76 %0,04 CA$
HF Sinclair Corp
HF Sinclair Corp
5,37 %0,00 $
Invesco Bond Income Plus Limited
Invesco Bond Income Plus Limited
7,16 %0,02 £
MFS Intermediate High Income Fund
MFS Intermediate High Income Fund
10,29 %0,06 $
MFS High Income Municipal Trust
MFS High Income Municipal Trust
5,39 %0,05 $
Zeige alle 14 Dividenden am
Samstag, 8. Januar 1994
Eastern & Oriental Bhd
Eastern & Oriental Bhd
1,20 %0,03 MYR
Zeige alle 1 Dividenden am
Montag, 10. Januar 1994
Altria Group Inc
Altria Group Inc
7,24 %0,07 $
The Cigna Group
The Cigna Group
1,99 %0,08 $
Liberty All-Star Equity
Liberty All-Star Equity
8,97 %0,27 $
Cohen & Steers Total Return Realty
Cohen & Steers Total Return Realty
8,11 %0,08 $
DNP Select Income Fund
DNP Select Income Fund
7,93 %0,08 $
Virtus Total Return Fund Inc.
Virtus Total Return Fund Inc.
9,80 %0,08 $
SkyWest Inc
SkyWest Inc
0,00 %0,01 $
Ionis Pharmaceuticals Inc
Ionis Pharmaceuticals Inc
0,00 %0,12 $
Community Financial System Inc
Community Financial System Inc
3,20 %0,07 $
TR Property Investment Trust
TR Property Investment Trust
4,94 %0,00 £
Zeige alle 18 Dividenden am
Dienstag, 11. Januar 1994
International Flavors & Fragrances Inc
International Flavors & Fragrances Inc
2,14 %0,27 $
Hubbell Inc
Hubbell Inc
1,37 %0,21 $
John Wiley & Sons Inc Class A
John Wiley & Sons Inc Class A
3,21 %0,02 $
Fluor Corp
Fluor Corp
0,00 %0,07 $
Culp Inc
Culp Inc
0,00 %0,01 $
John Wiley & Sons Inc Class B
John Wiley & Sons Inc Class B
3,20 %0,02 $
Zeige alle 6 Dividenden am
Mittwoch, 12. Januar 1994
HP Inc
HP Inc
4,04 %0,01 $
Cornerstone Strategic Investment Fund, Inc.
Cornerstone Strategic Investment Fund, Inc.
20,01 %18,24 $
The Toro Co
The Toro Co
1,99 %0,01 $
CVB Financial Corp
CVB Financial Corp
4,04 %0,01 $
MagnaChip Semiconductor Corp
MagnaChip Semiconductor Corp
0,00 %0,11 $
Leon's Furniture Ltd
Leon's Furniture Ltd
3,16 %0,02 CA$
CSR Ltd
CSR Ltd
1,24 %0,06 AU$
Yip's Chemical Holdings Ltd
Yip's Chemical Holdings Ltd
8,92 %0,04 HK$
Zeige alle 8 Dividenden am
Donnerstag, 13. Januar 1994
Marriott International Inc Class A
Marriott International Inc Class A
0,99 %0,02 $
CVR Energy Inc
CVR Energy Inc
8,34 %0,25 $
Barings Corporate Investors
Barings Corporate Investors
8,38 %0,18 $
Tootsie Roll Industries Inc
Tootsie Roll Industries Inc
1,11 %0,01 $
PCM Fund
PCM Fund
12,28 %0,25 $
COPT Defense Properties
COPT Defense Properties
4,61 %0,21 $
Taiwan Fund Inc
Taiwan Fund Inc
20,03 %0,13 $
YNBY International Ltd
YNBY International Ltd
0,00 %0,03 HK$
Zeige alle 8 Dividenden am
Freitag, 14. Januar 1994
T. Rowe Price Group Inc
T. Rowe Price Group Inc
5,22 %0,02 $
Viatris Inc
Viatris Inc
5,70 %0,01 $
McCormick & Co Inc
McCormick & Co Inc
2,39 %0,03 $
Cameco Corp
Cameco Corp
0,21 %0,02 CA$
U.S. Bancorp
U.S. Bancorp
4,52 %0,03 $
Arthur J. Gallagher & Co
Arthur J. Gallagher & Co
0,77 %0,05 $
Magna International Inc
Magna International Inc
5,20 %0,05 CA$
Federal Realty Investment Trust
Federal Realty Investment Trust
4,62 %0,39 $
Cincinnati Financial Corp
Cincinnati Financial Corp
2,31 %0,08 $
Equity Residential
Equity Residential
4,01 %0,24 $
Zeige alle 53 Dividenden am
Samstag, 15. Januar 1994
Occidental Petroleum Corp
Occidental Petroleum Corp
2,19 %0,13 $
Citigroup Inc
Citigroup Inc
2,98 %0,33 $
Franklin Resources Inc
Franklin Resources Inc
5,82 %0,01 $
Cardinal Health Inc
Cardinal Health Inc
1,38 %0,01 $
BCE Inc
BCE Inc
11,39 %0,08 CA$
Cincinnati Financial Corp
Cincinnati Financial Corp
2,31 %0,08 $
Sempra
Sempra
3,45 %0,37 $
National Fuel Gas Co
National Fuel Gas Co
2,59 %0,19 $
The York Water Co
The York Water Co
2,77 %0,08 $
Fifth Third Bancorp
Fifth Third Bancorp
3,75 %0,04 $
Zeige alle 18 Dividenden am
Montag, 17. Januar 1994
State Street Corp
State Street Corp
3,11 %0,04 $
KeyCorp
KeyCorp
4,93 %0,16 $
The Travelers Companies Inc
The Travelers Companies Inc
1,68 %0,01 $
Guangdong Investment Ltd
Guangdong Investment Ltd
5,05 %0,03 HK$
Exelon Corp
Exelon Corp
3,63 %0,03 $
Vanguard Dividend Appreciation Index Fund ETF Shares
Vanguard Dividend Appreciation Index Fund ETF Shares
1,78 %0,08 $
SITE Centers Corp
SITE Centers Corp
17,13 %0,40 $
Templeton Emerging Markets Income Fund
Templeton Emerging Markets Income Fund
10,33 %0,33 $
Transcontinental Inc Ordinary Shares - Class A (Sub Voting)
Transcontinental Inc Ordinary Shares - Class A (Sub Voting)
4,46 %0,02 CA$
Credit Suisse Asset Management Income Fund, Inc
Credit Suisse Asset Management Income Fund, Inc
9,44 %0,06 $
Zeige alle 18 Dividenden am
Dienstag, 18. Januar 1994
Ecolab Inc
Ecolab Inc
1,04 %0,03 $
Motorola Solutions Inc
Motorola Solutions Inc
1,02 %0,15 $
Saba Capital Income & Opportunities Fund
Saba Capital Income & Opportunities Fund
13,33 %0,10 $
John Hancock Premium Dividend Fund
John Hancock Premium Dividend Fund
7,86 %0,08 $
Washington Trust Bancorp Inc
Washington Trust Bancorp Inc
7,58 %0,04 $
Kaman Corp Class A
Kaman Corp Class A
0,83 %0,11 $
Oriental Enterprise Holdings Ltd
Oriental Enterprise Holdings Ltd
10,00 %0,12 HK$
Allied Healthcare Products Inc
Allied Healthcare Products Inc
0,00 %0,12 $
Miramar Hotel & Investment Co Ltd
Miramar Hotel & Investment Co Ltd
5,43 %0,06 HK$
Berjaya Corp Bhd
Berjaya Corp Bhd
0,00 %0,07 MYR
Zeige alle 14 Dividenden am
Mittwoch, 19. Januar 1994
Chubb Ltd
Chubb Ltd
1,29 %0,03 $
Camden Property Trust
Camden Property Trust
3,63 %0,40 $
National Australia Bank Ltd
National Australia Bank Ltd
4,59 %0,26 AU$
National Australia Bank Ltd
National Australia Bank Ltd
4,59 %0,26 AU$
First of Long Island Corp
First of Long Island Corp
6,68 %0,04 $
SEI Investments Co
SEI Investments Co
1,18 %0,00 $
Grand Banks Yachts Ltd
Grand Banks Yachts Ltd
2,97 %0,00 SGD
Preformed Line Products Co
Preformed Line Products Co
0,57 %0,06 $
Doyen International Holdings Ltd
Doyen International Holdings Ltd
0,00 %0,05 HK$
Zeige alle 9 Dividenden am
Donnerstag, 20. Januar 1994
Xcel Energy Inc
Xcel Energy Inc
3,31 %0,13 $
Sun Communities Inc
Sun Communities Inc
3,17 %0,08 $
Insperity Inc
Insperity Inc
3,38 %0,04 $
Spirit AeroSystems Holdings Inc Class A
Spirit AeroSystems Holdings Inc Class A
0,00 %0,08 $
Clearfield Inc
Clearfield Inc
0,00 %0,27 $
BlackRock Energy & Resources Trust
BlackRock Energy & Resources Trust
9,22 %0,33 $
Caledonia Investments PLC
Caledonia Investments PLC
1,87 %0,05 £
Hon Kwok Land Investment Co Ltd
Hon Kwok Land Investment Co Ltd
6,13 %0,03 HK$
Pyung Hwa Holdings Co Ltd
Pyung Hwa Holdings Co Ltd
1,33 %984 ₩
Tian Teck Land Ltd
Tian Teck Land Ltd
8,08 %0,03 HK$
Zeige alle 12 Dividenden am
Freitag, 21. Januar 1994
Danaher Corp
Danaher Corp
0,68 %0,00 $
ANZ Group Holdings Ltd
ANZ Group Holdings Ltd
5,82 %0,10 AU$
ANZ Group Holdings Ltd
ANZ Group Holdings Ltd
5,82 %0,09 AU$
Cohu Inc
Cohu Inc
0,00 %0,01 $
Banc of California Inc
Banc of California Inc
2,74 %0,04 $
AllianceBernstein Global High Income Fund Inc.
AllianceBernstein Global High Income Fund Inc.
7,30 %0,16 $
Granite Construction Inc
Granite Construction Inc
0,60 %0,01 $
Glacier Bancorp Inc
Glacier Bancorp Inc
3,04 %0,03 $
Invesco Solar ETF
Invesco Solar ETF
0,00 %0,38 $
Urstadt Biddle Properties Inc
Urstadt Biddle Properties Inc
0,00 %0,27 $
Zeige alle 23 Dividenden am
Samstag, 22. Januar 1994
Kluang Rubber Co Malaya Bhd
Kluang Rubber Co Malaya Bhd
0,17 %0,01 MYR
Sungei Bagan Rubber Co (Malaya) Bhd
Sungei Bagan Rubber Co (Malaya) Bhd
0,33 %0,01 MYR
Zeige alle 2 Dividenden am
Montag, 24. Januar 1994
PNC Financial Services Group Inc
PNC Financial Services Group Inc
3,57 %0,32 $
Westpac Banking Corp
Westpac Banking Corp
4,82 %0,06 AU$
Westpac Banking Corp
Westpac Banking Corp
4,82 %0,06 AU$
Rite Aid Corp
Rite Aid Corp
0,00 %1,50 $
Werner Enterprises Inc
Werner Enterprises Inc
2,01 %0,01 $
Tenaga Nasional Bhd
Tenaga Nasional Bhd
3,59 %0,03 MYR
Zeige alle 6 Dividenden am
Dienstag, 25. Januar 1994
GE Aerospace
GE Aerospace
0,65 %0,47 $
Labcorp Holdings Inc
Labcorp Holdings Inc
1,19 %0,20 $
Greystone Housing Impact Investors LP
Greystone Housing Impact Investors LP
12,98 %0,19 $
Regis Corp
Regis Corp
0,00 %0,20 $
United Breweries Co Inc ADR
United Breweries Co Inc ADR
3,21 %0,00 $
Lakeland Financial Corp
Lakeland Financial Corp
3,28 %0,01 $
S&T Bancorp Inc
S&T Bancorp Inc
3,54 %0,07 $
Western Asset High Income Opportunity Fund Inc.
Western Asset High Income Opportunity Fund Inc.
10,95 %0,02 $
Allianz Rentenfonds A
Allianz Rentenfonds A
1,81 %4,35 €
Sally Beauty Holdings Inc
Sally Beauty Holdings Inc
0,00 %0,10 $
Zeige alle 23 Dividenden am
Mittwoch, 26. Januar 1994
Medifast Inc
Medifast Inc
0,00 %0,03 $
Vanguard High Dividend Yield Index Fund ETF Shares
Vanguard High Dividend Yield Index Fund ETF Shares
2,84 %0,06 $
Zions Bancorp NA
Zions Bancorp NA
3,49 %0,07 $
Shenandoah Telecommunications Co
Shenandoah Telecommunications Co
0,85 %0,00 $
BNY Mellon Municipal Income
BNY Mellon Municipal Income
3,27 %0,06 $
BNY Mellon Strategic Municipal Bond
BNY Mellon Strategic Municipal Bond
3,78 %0,06 $
ERSTE Bond Combirent EUR R01 A
ERSTE Bond Combirent EUR R01 A
2,12 %1,16 €
Barnwell Industries Inc
Barnwell Industries Inc
0,00 %0,01 $
Equus Total Return Inc
Equus Total Return Inc
0,00 %0,68 $
WTK Holdings Bhd
WTK Holdings Bhd
3,57 %0,03 MYR
Zeige alle 10 Dividenden am
Donnerstag, 27. Januar 1994
LTC Properties Inc
LTC Properties Inc
6,51 %0,25 $
Bank of Nova Scotia
Bank of Nova Scotia
5,89 %0,07 CA$
Vector Group Ltd
Vector Group Ltd
5,34 %0,07 $
Commercial Metals Co
Commercial Metals Co
1,50 %0,02 $
Premier Financial Corp
Premier Financial Corp
4,41 %0,03 $
Naturenergie Holding AG
Naturenergie Holding AG
2,81 %0,75 CHF
RPT Realty
RPT Realty
9,36 %0,32 $
China Fund, Inc.
China Fund, Inc.
1,18 %0,09 $
Brd Klee AS Class B
Brd Klee AS Class B
0,00 %10,00 DKK
Cafe de Coral Holdings Ltd
Cafe de Coral Holdings Ltd
8,03 %0,04 HK$
Zeige alle 11 Dividenden am
Freitag, 28. Januar 1994
Medtronic PLC
Medtronic PLC
3,25 %0,01 $
McCormick & Co Inc
McCormick & Co Inc
2,39 %0,06 $
Autodesk Inc
Autodesk Inc
0,00 %0,02 $
Essential Utilities Inc
Essential Utilities Inc
3,52 %0,03 $
Canadian Pacific Kansas City Ltd
Canadian Pacific Kansas City Ltd
0,80 %0,02 CA$
Canadian Imperial Bank of Commerce
Canadian Imperial Bank of Commerce
4,24 %0,08 CA$
Service Corp International
Service Corp International
1,70 %0,01 $
DuPont de Nemours Inc
DuPont de Nemours Inc
2,37 %0,65 $
BP Prudhoe Bay Royalty Trust
BP Prudhoe Bay Royalty Trust
0,00 %0,42 $
Cornerstone Total Return Fund Inc
Cornerstone Total Return Fund Inc
19,85 %2,40 $
Zeige alle 46 Dividenden am
Samstag, 29. Januar 1994
Roper Technologies Inc
Roper Technologies Inc
0,57 %0,01 $
Neenah Inc
Neenah Inc
0,00 %0,59 $
Chin Teck Plantations Bhd
Chin Teck Plantations Bhd
1,95 %0,09 MYR
Zeige alle 3 Dividenden am
Sonntag, 30. Januar 1994
Quaker Houghton
Quaker Houghton
1,83 %0,16 $
First Trust Senior Floating Rate Income Fund II
First Trust Senior Floating Rate Income Fund II
11,70 %0,05 $
Zeige alle 2 Dividenden am
Montag, 31. Januar 1994
Texas Instruments Inc
Texas Instruments Inc
2,90 %0,01 $
JPMorgan Chase & Co
JPMorgan Chase & Co
2,11 %0,13 $
Stryker Corp
Stryker Corp
0,87 %0,01 $
Lowe's Companies Inc
Lowe's Companies Inc
2,01 %0,01 $
Tanger Inc
Tanger Inc
3,75 %0,11 $
Dynex Capital Inc
Dynex Capital Inc
16,28 %6,24 $
The Toronto-Dominion Bank
The Toronto-Dominion Bank
4,68 %0,05 CA$
Watsco Inc
Watsco Inc
2,44 %0,02 $
EOG Resources Inc
EOG Resources Inc
3,37 %0,01 $
The Campbell's Co
The Campbell's Co
4,55 %0,14 $
Zeige alle 88 Dividenden am

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  1. PepsiCo Inc zahlt Dividende am .
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