Date,Dividends 2022-12-27,0.310000 2024-02-01,0.404000 2025-09-02,0.328000 2018-12-03,0.176000 2019-07-01,0.186000 2019-09-03,0.170000 2023-02-01,0.354000 2024-11-01,0.393000 2017-03-01,0.031000 2018-03-01,0.098000 2019-06-03,0.196000 2022-05-03,0.022000 2022-10-03,0.150000 2023-08-01,0.413000 2023-10-02,0.407000 2024-10-01,0.409000 2017-05-01,0.050000 2017-10-02,0.079000 2026-02-02,0.273000 2025-06-02,0.345000 2025-07-01,0.338000 2019-10-01,0.159000 2023-07-03,0.391000 2024-04-01,0.396000 2024-09-03,0.413000 2025-08-01,0.347000 2026-08-03,0.305000 2016-12-01,0.028000 2019-08-01,0.183000 2022-06-01,0.047000 2023-12-27,0.469000 2025-12-01,0.286000 2017-09-01,0.077000 2019-04-01,0.193000 2020-06-01,0.046000 2022-12-01,0.270000 2024-03-01,0.402000 2024-08-01,0.463000 2018-08-01,0.146000 2020-03-02,0.162000 2018-07-02,0.143000 2024-12-02,0.359000 2024-12-31,0.399000 2025-12-31,0.338000 2026-05-01,0.294000 2026-07-01,0.311000 2017-08-01,0.053000 2018-02-01,0.098000 2023-09-01,0.403000 2025-10-01,0.347000 2019-02-01,0.199000 2023-05-01,0.378000 2018-05-01,0.126000 2023-06-01,0.387000 2018-06-01,0.141000 2018-11-01,0.161000 2019-12-27,0.257000 2022-09-01,0.146000 2025-03-03,0.320000 2017-06-01,0.055000 2017-07-03,0.062000 2023-12-01,0.455000 2024-07-01,0.391000 2017-02-01,0.025000 2017-12-27,0.094000 2019-11-01,0.150000 2020-04-01,0.119000 2023-04-03,0.356000 2018-09-04,0.158000 2018-10-01,0.150000 2020-05-01,0.077000 2020-07-01,0.053000 2020-09-01,0.009000 2020-10-01,0.310000 2022-08-01,0.123000 2023-03-01,0.287000 2017-11-01,0.088000 2020-02-03,0.017000 2025-11-03,0.336000 2022-11-01,0.235000 2024-05-01,0.458000 2026-03-02,0.275000 2017-12-01,0.082000 2019-12-02,0.137000 2018-04-02,0.118000 2020-08-03,0.016000 2023-11-01,0.461000 2024-06-03,0.438000 2025-02-03,0.345000 2025-05-01,0.345000 2016-11-01,0.027000 2016-12-28,0.034000 2019-03-01,0.179000 2019-05-01,0.195000 2022-07-01,0.066000 2025-04-01,0.343000 2026-04-01,0.302000 2026-06-01,0.278000 2017-04-03,0.042000 2018-12-27,0.184000