Date,Dividends 2025-12-02,0.057737 2020-09-02,0.045235 2022-12-02,0.044047 2024-05-02,0.047718 2024-11-04,0.052726 2021-06-02,0.042713 2019-05-02,0.052736 2020-11-03,0.042737 2021-09-02,0.039418 2022-02-02,0.041184 2024-09-04,0.055222 2025-06-03,0.047693 2019-09-04,0.050247 2020-06-02,0.045212 2021-03-02,0.045422 2021-07-02,0.042803 2024-02-02,0.047715 2025-04-02,0.047693 2025-09-03,0.047703 2019-06-04,0.050247 2021-12-02,0.042942 2022-05-03,0.041940 2023-05-02,0.042423 2025-10-02,0.052750 2019-11-04,0.050249 2020-02-04,0.050262 2021-02-02,0.045514 2021-08-03,0.042743 2023-07-05,0.045202 2023-11-02,0.047702 2024-10-02,0.055212 2019-07-02,0.050240 2021-05-04,0.042199 2022-08-02,0.039813 2022-11-02,0.042685 2025-08-04,0.047739 2020-08-04,0.045223 2020-12-11,0.058608 2023-03-02,0.047928 2023-12-11,0.052709 2023-04-04,0.047821 2023-08-02,0.047715 2024-03-04,0.047700 2025-03-04,0.047682 2019-12-11,0.060916 2020-04-02,0.050240 2020-10-02,0.040227 2021-11-02,0.044107 2025-11-04,0.050222 2021-04-05,0.045248 2022-06-02,0.040178 2024-12-11,0.062720 2025-07-02,0.047684 2019-02-04,0.052729 2019-03-04,0.052716 2020-03-03,0.050234 2020-05-04,0.047703 2021-12-13,0.056907 2022-04-04,0.040228 2024-07-02,0.047708 2019-12-03,0.050236 2021-10-04,0.042727 2024-06-04,0.047715 2025-12-11,0.057716 2023-06-02,0.045170 2023-10-03,0.047689 2024-12-03,0.052713 2025-02-04,0.052707 2022-09-02,0.042674 2022-10-04,0.042834 2022-12-12,0.045216 2023-09-05,0.047711 2019-04-02,0.052743 2019-08-02,0.050250 2020-12-02,0.045247 2022-03-02,0.040154 2024-08-02,0.055385 2025-05-02,0.047727 2019-10-02,0.050241 2023-02-02,0.047926 2023-12-04,0.047695 2024-04-02,0.047713 2020-07-02,0.045222 2022-07-05,0.042716