Regency Centers Corporation(REG) USD 60.68
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.07%USD 0.65USD0.652023-03-14
20224.16%USD 2.525USD0.652022-12-15
USD0.6252022-09-14
USD0.6252022-06-14
USD0.6252022-03-14
20213.97%USD 2.41USD0.6252021-12-15
USD0.5952021-09-14
USD0.5952021-06-14
USD0.5952021-03-12
20203.92%USD 2.38USD0.5952020-12-15
USD0.5952020-08-13
USD0.5952020-05-15
USD0.5952020-02-21
20193.86%USD 2.34USD0.5852019-11-08
USD0.5852019-08-09
USD0.5852019-05-10
USD0.5852019-02-22
20183.66%USD 2.22USD0.5552018-11-13
USD0.5552018-08-14
USD0.5552018-05-15
USD0.5552018-02-16
20173.46%USD 2.1USD0.532017-11-14
USD0.532017-08-14
USD0.532017-05-18
USD0.512017-02-22
20163.30%USD 2USD0.52016-11-14
USD0.52016-08-15
USD0.52016-05-16
USD0.52016-02-18
20153.20%USD 1.94USD0.4852015-11-16
USD0.4852015-08-17
USD0.4852015-05-18
USD0.4852015-02-19
20143.10%USD 1.88USD0.472014-11-17
USD0.472014-08-18
USD0.472014-05-19
USD0.472014-02-20
20133.05%USD 1.85USD0.46252013-11-08
USD0.46252013-08-12
USD0.46252013-05-20
USD0.46252013-02-11
20123.05%USD 1.85USD0.46252012-11-09
USD0.46252012-08-13
USD0.46252012-05-14
USD0.46252012-02-13
20113.05%USD 1.85USD0.46252011-11-14
USD0.46252011-08-15
USD0.46252011-05-16
USD0.46252011-02-14
20103.05%USD 1.85USD0.46252010-11-15
USD0.46252010-08-16
USD0.46252010-05-17
USD0.46252010-02-12
20093.48%USD 2.113USD0.46252009-11-16
USD0.46252009-08-17
USD0.46252009-05-18
USD0.7252009-02-13
20084.78%USD 2.9USD0.7252008-11-17
USD0.7252008-08-18
USD0.7252008-05-19
USD0.7252008-02-15
20074.35%USD 2.64USD0.662007-11-09
USD0.662007-08-13
USD0.662007-05-14
USD0.662007-02-12
20063.92%USD 2.38USD0.5952006-11-13
USD0.5952006-08-14
USD0.5952006-05-15
USD0.5952006-02-13
20053.63%USD 2.2USD0.552005-11-10
USD0.552005-08-12
USD0.552005-05-16
USD0.552005-02-11
20043.49%USD 2.12USD0.532004-11-08
USD0.532004-08-09
USD0.532004-05-10
USD0.532004-02-09
20033.43%USD 2.08USD0.522003-11-17
USD0.522003-08-22
USD0.522003-05-19
USD0.522003-02-14
20023.36%USD 2.04USD0.512002-11-15
USD0.512002-08-19
USD0.512002-05-09
USD0.512002-02-08
20013.30%USD 2USD0.52001-11-07
USD0.52001-08-09
USD0.52001-05-09
USD0.52001-02-08
20003.16%USD 1.92USD0.482000-11-09
USD0.482000-08-09
USD0.482000-05-10
USD0.482000-02-09