Consumer Discretionary Select Sector SPDR Fund
Symbol
XLY
Price
$228.92
Exchange
AMEX
Industry
Asset Management
Dividend Yield
0.64%
Ex-Dividend Date
12-23-2024
Dividend Details
Ex-Dividend Date | Amount | Dividend Yield | Payment Date |
---|---|---|---|
12.23.2024 | $0.43313 | 0.19% | 12.26.2024 |
09.23.2024 | $0.40467 | 0.21% | 09.25.2024 |
06.24.2024 | $0.39182 | 0.21% | 06.26.2024 |
03.18.2024 | $0.38725 | 0.22% | 03.21.2024 |
12.18.2023 | $0.32045 | 0.18% | 12.21.2023 |
09.18.2023 | $0.30527 | 0.18% | 09.21.2023 |
06.20.2023 | $0.33438 | 0.20% | 06.23.2023 |
03.20.2023 | $0.43017 | 0.30% | 03.23.2023 |
12.19.2022 | $0.366 | 0.27% | 12.22.2022 |
09.19.2022 | $0.33 | 0.21% | 09.22.2022 |
06.21.2022 | $0.314 | 0.23% | 06.24.2022 |
03.21.2022 | $0.279 | 0.15% | 03.24.2022 |
12.20.2021 | $0.292 | 0.13% | 12.23.2021 |
09.20.2021 | $0.275 | 0.12% | 09.23.2021 |
06.21.2021 | $0.255 | 0.11% | 06.24.2021 |
03.22.2021 | $0.264 | 0.12% | 03.25.2021 |
12.21.2020 | $0.296 | 0.13% | 12.24.2020 |
09.21.2020 | $0.306 | 0.13% | 09.24.2020 |
06.22.2020 | $0.296 | 0.13% | 06.25.2020 |
03.23.2020 | $0.424 | 0.19% | 03.26.2020 |
12.20.2019 | $0.41 | 0.18% | 12.26.2019 |
09.20.2019 | $0.404 | 0.18% | 09.25.2019 |
06.21.2019 | $0.414 | 0.18% | 06.26.2019 |
03.15.2019 | $0.375 | 0.16% | 03.20.2019 |
12.21.2018 | $0.376 | 0.16% | 12.27.2018 |
09.21.2018 | $0.351 | 0.15% | 09.26.2018 |
06.15.2018 | $0.294 | 0.13% | 06.20.2018 |
03.16.2018 | $0.31 | 0.14% | 03.21.2018 |
12.15.2017 | $0.332 | 0.15% | 12.26.2017 |
09.15.2017 | $0.318 | 0.14% | 09.25.2017 |
06.16.2017 | $0.275 | 0.12% | 06.26.2017 |
03.17.2017 | $0.261 | 0.11% | 03.27.2017 |
12.16.2016 | $0.492 | 0.21% | 12.27.2016 |
09.16.2016 | $0.3 | 0.13% | 09.26.2016 |
06.17.2016 | $0.277 | 0.12% | 06.27.2016 |
03.18.2016 | $0.321 | 0.14% | 03.29.2016 |
12.18.2015 | $0.325 | 0.14% | 12.29.2015 |
09.18.2015 | $0.289 | 0.13% | 09.28.2015 |
06.19.2015 | $0.247 | 0.11% | 06.29.2015 |
03.20.2015 | $0.255 | 0.11% | 03.30.2015 |