SPDR S&P 500 ETF Trust
Symbol
SPY
Price
$597.49
Exchange
AMEX
Industry
Asset Management
Dividend Yield
1.27%
Ex-Dividend Date
12-20-2024
Dividend Details
Ex-Dividend Date | Amount | Dividend Yield | Payment Date |
---|---|---|---|
12.20.2024 | $1.96555 | 0.34% | 01.31.2025 |
09.20.2024 | $1.74553 | 0.31% | 10.31.2024 |
06.21.2024 | $1.75902 | 0.32% | 07.31.2024 |
03.15.2024 | $1.59494 | 0.31% | 04.30.2024 |
12.15.2023 | $1.90607 | 0.40% | 01.31.2024 |
09.15.2023 | $1.58317 | 0.35% | 10.31.2023 |
06.16.2023 | $1.63837 | 0.37% | 07.31.2023 |
03.17.2023 | $1.5062 | 0.38% | 04.28.2023 |
12.16.2022 | $1.781 | 0.46% | 01.31.2023 |
09.16.2022 | $1.596 | 0.41% | 10.31.2022 |
06.17.2022 | $1.577 | 0.43% | 07.29.2022 |
03.18.2022 | $1.366 | 0.31% | 04.29.2022 |
12.17.2021 | $1.636 | 0.35% | 01.31.2022 |
09.17.2021 | $1.428 | 0.32% | 10.29.2021 |
06.18.2021 | $1.376 | 0.33% | 07.30.2021 |
03.19.2021 | $1.278 | 0.33% | 04.30.2021 |
12.18.2020 | $1.58 | 0.42% | 01.29.2021 |
09.18.2020 | $1.339 | 0.40% | 10.30.2020 |
06.19.2020 | $1.366 | 0.44% | 07.31.2020 |
03.20.2020 | $1.406 | 0.58% | 04.30.2020 |
12.20.2019 | $1.57 | 0.26% | 01.31.2020 |
09.20.2019 | $1.384 | 0.23% | 10.31.2019 |
06.21.2019 | $1.432 | 0.24% | 07.31.2019 |
03.15.2019 | $1.233 | 0.21% | 04.30.2019 |
12.21.2018 | $1.435 | 0.24% | 01.31.2019 |
09.21.2018 | $1.323 | 0.22% | 10.31.2018 |
06.15.2018 | $1.246 | 0.21% | 07.31.2018 |
03.16.2018 | $1.097 | 0.18% | 04.30.2018 |
12.15.2017 | $1.351 | 0.23% | 01.31.2018 |
09.15.2017 | $1.235 | 0.21% | 10.31.2017 |
06.16.2017 | $1.183 | 0.20% | 07.31.2017 |
03.17.2017 | $1.033 | 0.17% | 04.28.2017 |
12.16.2016 | $1.329 | 0.22% | 01.31.2017 |
09.16.2016 | $1.082 | 0.18% | 10.31.2016 |
06.17.2016 | $1.078 | 0.18% | 07.29.2016 |
03.18.2016 | $1.05 | 0.18% | 04.29.2016 |
12.18.2015 | $1.212 | 0.20% | 01.29.2016 |
09.18.2015 | $1.033 | 0.17% | 10.30.2015 |
06.19.2015 | $1.03 | 0.17% | 07.31.2015 |
03.20.2015 | $0.931 | 0.16% | 04.30.2015 |