Pan American Silver Corp.(PAAS) USD 17.83
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.12%USD 0.2USD0.12023-04-13
USD0.09952023-03-03
20223.03%USD 0.539USD0.09952022-11-18
USD0.10942022-08-19
USD0.09192022-05-23
USD0.11932022-05-20
USD0.11932022-03-04
20211.90%USD 0.338USD0.09942021-11-19
USD0.09942021-08-20
USD0.06962021-05-24
USD0.06962021-02-26
20201.23%USD 0.219USD0.06962020-11-13
USD0.04972020-08-14
USD0.04972020-05-18
USD0.04972020-02-28
20190.78%USD 0.139USD0.03482019-11-15
USD0.03482019-08-16
USD0.03482019-05-20
USD0.03482019-03-01
20180.78%USD 0.139USD0.03482018-11-16
USD0.03482018-08-17
USD0.03482018-05-21
USD0.03482018-03-02
20170.56%USD 0.1USD0.02492017-11-17
USD0.02492017-08-17
USD0.02492017-05-18
USD0.02492017-02-23
20160.28%USD 0.05USD0.01242016-11-22
USD0.01242016-08-19
USD0.01242016-05-20
USD0.01242016-02-25
20151.53%USD 0.273USD0.04972015-11-19
USD0.04972015-08-21
USD0.04972015-05-20
USD0.12432015-02-26
20142.79%USD 0.497USD0.12432014-11-21
USD0.12432014-08-21
USD0.12432014-05-19
USD0.12432014-02-27
20132.79%USD 0.497USD0.12432013-11-21
USD0.12432013-08-22
USD0.12432013-05-22
USD0.12432013-02-28
20120.98%USD 0.174USD0.04972012-11-15
USD0.04972012-08-23
USD0.03732012-05-23
USD0.03732012-03-01
20110.56%USD 0.1USD0.02492011-11-17
USD0.02492011-08-18
USD0.02492011-05-27
USD0.02492011-02-24
20100.42%USD 0.075USD0.02492010-11-17
USD0.02492010-08-19
USD0.02492010-02-24