Sterling Bancorp(STL) USD 25.83
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.27%USD 0.07USD0.072022-01-21
20211.08%USD 0.28USD0.072021-10-29
USD0.072021-07-30
USD0.072021-04-29
USD0.072021-01-29
20201.08%USD 0.28USD0.072020-10-30
USD0.072020-07-31
USD0.072020-05-07
USD0.072020-01-31
20191.08%USD 0.28USD0.072019-11-01
USD0.072019-08-02
USD0.072019-05-03
USD0.072019-02-01
20181.08%USD 0.28USD0.072018-11-02
USD0.072018-08-03
USD0.072018-05-04
USD0.072018-02-02
20171.08%USD 0.28USD0.072017-11-03
USD0.072017-08-03
USD0.072017-05-04
USD0.072017-02-02
20161.08%USD 0.28USD0.072016-11-03
USD0.072016-08-04
USD0.072016-05-04
USD0.072016-02-03
20151.08%USD 0.28USD0.072015-11-03
USD0.072015-08-04
USD0.072015-05-07
USD0.072015-02-04
20141.08%USD 0.28USD0.072014-11-04
USD0.072014-07-31
USD0.072014-05-08
USD0.072014-02-12
20130.93%USD 0.24USD0.062013-10-10
USD0.062013-08-01
USD0.062013-05-02
USD0.062013-01-31
20120.93%USD 0.24USD0.062012-11-01
USD0.062012-08-02
USD0.062012-05-03
USD0.062012-02-02
20110.93%USD 0.24USD0.062011-11-03
USD0.062011-08-04
USD0.062011-05-05
USD0.062011-01-27
20100.93%USD 0.24USD0.062010-11-04
USD0.062010-07-29
USD0.062010-04-29
USD0.062010-01-28
20090.93%USD 0.24USD0.062009-10-29
USD0.062009-08-04
USD0.062009-05-07
USD0.062009-02-03
20080.93%USD 0.24USD0.062008-10-28
USD0.062008-08-05
USD0.062008-05-06
USD0.062008-02-05
20070.81%USD 0.21USD0.062007-10-30
USD0.052007-08-07
USD0.052007-05-08
USD0.052007-02-06
20060.77%USD 0.2USD0.052006-11-02
USD0.052006-08-03
USD0.052006-05-02
USD0.052006-02-07
20050.70%USD 0.18USD0.052005-11-03
USD0.0452005-08-04
USD0.0452005-05-05
USD0.042005-02-08
20040.60%USD 0.155USD0.042004-11-05
USD0.042004-08-06
USD0.042004-05-04
USD0.0352004-02-03
20030.51%USD 0.133USD0.03382003-11-04
USD0.03382003-08-05
USD0.03382003-05-06
USD0.03162003-02-04
20020.40%USD 0.104USD0.02932002-11-04
USD0.02712002-08-06
USD0.02482002-05-06
USD0.02262002-02-01
20010.23%USD 0.059USD0.01812001-11-02
USD0.01582001-08-08
USD0.01352001-05-08
USD0.01132001-02-02
20000.14%USD 0.036USD0.0092000-11-06
USD0.0092000-08-08
USD0.0092000-05-05
USD0.0092000-02-07