Pfizer Inc.(0Q1N) USD 40.7
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.01%USD 0.41USD0.412023-01-26
20223.93%USD 1.6USD0.42022-11-03
USD0.42022-07-28
USD0.42022-05-12
USD0.42022-01-27
20213.83%USD 1.56USD0.392021-11-04
USD0.392021-07-29
USD0.392021-05-06
USD0.392021-01-28
20203.54%USD 1.44USD0.359972020-11-05
USD0.359972020-07-30
USD0.359972020-05-07
USD0.359972020-01-30
20193.35%USD 1.364USD0.341032019-11-07
USD0.341032019-08-01
USD0.341032019-05-09
USD0.341032019-01-31
20183.17%USD 1.288USD0.322082018-11-08
USD0.322082018-08-02
USD0.322082018-05-10
USD0.322082018-02-01
20172.98%USD 1.213USD0.303142017-11-09
USD0.303142017-08-02
USD0.303142017-05-10
USD0.303142017-02-01
20162.79%USD 1.137USD0.284192016-11-08
USD0.284192016-08-03
USD0.284192016-05-11
USD0.284192016-02-03
20152.61%USD 1.061USD0.265242015-11-04
USD0.265242015-08-05
USD0.265242015-05-06
USD0.265242015-02-04
20142.42%USD 0.985USD0.24632014-11-05
USD0.24632014-07-30
USD0.24632014-05-07
USD0.24632014-02-05
20132.23%USD 0.909USD0.227352013-11-06
USD0.227352013-07-31
USD0.227352013-05-08
USD0.227352013-01-30
20122.05%USD 0.834USD0.208412012-11-07
USD0.208412012-08-01
USD0.208412012-05-09
USD0.208412012-02-01
20111.86%USD 0.758USD0.189462011-11-08
USD0.189462011-08-03
USD0.189462011-05-11
USD0.189462011-02-02
20101.68%USD 0.682USD0.170512010-11-04
USD0.170512010-08-04
USD0.170512010-05-05
USD0.170512010-02-03
20090.74%USD 0.303USD0.303142009-02-04
20080.74%USD 0.303USD0.303142008-02-06
20072.70%USD 1.099USD0.274722007-11-07
USD0.274722007-08-08
USD0.274722007-05-09
USD0.274722007-02-07
20062.23%USD 0.909USD0.227352006-11-07
USD0.227352006-08-09
USD0.227352006-05-10
USD0.227352006-02-08
20051.77%USD 0.72USD0.179992005-11-08
USD0.179992005-08-10
USD0.179992005-05-11
USD0.179992005-02-09
20041.58%USD 0.644USD0.161042004-11-09
USD0.161042004-08-11
USD0.161042004-05-12
USD0.161042004-02-11
20031.40%USD 0.568USD0.14212003-11-12
USD0.14212003-08-13
USD0.14212003-05-14
USD0.14212003-01-15
20020.61%USD 0.246USD0.123152002-05-15
USD0.123152002-02-13
20010.51%USD 0.208USD0.10422001-11-14
USD0.10422001-08-16