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Fidelity National Information Services FIS
€ 67.74 -1.42%

Geschäftsbericht 2024
hinzugefügt 13.02.2025

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Fidelity National Information Services Dividende 2011-2025 | FIS

Zahlungsdatum Dividende je Aktie
2022-06-09 $ 0.47
2022-03-10 $ 0.47
2021-12-10 $ 0.39
2021-09-09 $ 0.39
2021-06-10 $ 0.39
2021-03-11 $ 0.39
2020-12-11 $ 0.35
2020-09-10 $ 0.35
2020-06-11 $ 0.35
2020-03-12 $ 0.35
2019-12-12 $ 0.35
2019-09-12 $ 0.35
2019-06-13 $ 0.35
2019-03-14 $ 0.35
2018-12-13 $ 0.32
2018-09-13 $ 0.32
2018-06-14 $ 0.32
2018-03-15 $ 0.32
2017-12-14 $ 0.29
2017-09-14 $ 0.29
2017-06-14 $ 0.29
2017-03-15 $ 0.29
2016-12-14 $ 0.26
2016-09-14 $ 0.26
2016-06-14 $ 0.26
2016-03-15 $ 0.26
2015-12-14 $ 0.26
2015-09-14 $ 0.26
2015-06-12 $ 0.26
2015-03-13 $ 0.26
2014-12-12 $ 0.24
2014-09-12 $ 0.24
2014-06-12 $ 0.24
2014-03-13 $ 0.24
2013-12-12 $ 0.22
2013-09-12 $ 0.22
2013-06-12 $ 0.22
2013-03-13 $ 0.22
2012-12-12 $ 0.2
2012-09-12 $ 0.2
2012-06-13 $ 0.2
2012-03-14 $ 0.2
2011-12-14 $ 0.05
2011-09-14 $ 0.05
2011-06-14 $ 0.05
2011-03-15 $ 0.05
2010-12-15 $ 0.05
2010-09-14 $ 0.05
2010-06-14 $ 0.05
2010-03-12 $ 0.05
Dividendenzahlung Chart
12 Mar 201012 Mar 201002 Jun 201102 Jun 201122 Aug 201222 Aug 201212 Nov 201312 Nov 201302 Feb 201502 Feb 201525 Apr 201625 Apr 201616 Jul 201716 Jul 201706 Oct 201806 Oct 201827 Dec 201927 Dec 201918 Mar 202118 Mar 2021$ 0.47$ 0.47$ 0.39$ 0.39$ 0.30$ 0.30$ 0.22$ 0.22$ 0.13$ 0.13$ 0.05$ 0.05
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