Date,Dividends 2024-12-12,1.716520 2025-07-23,1.411030 2019-09-24,0.088330 2019-12-17,0.130250 2021-12-09,5.081940 2022-12-15,0.049810 2024-03-25,0.061010 2021-03-25,0.089730 2024-09-24,0.062970 2019-03-25,0.062150 2023-09-25,0.057030 2021-12-16,0.046040 2022-03-25,0.061570 2022-06-24,0.063930 2019-06-24,0.060640 2024-12-20,0.044940 2020-06-24,0.037910 2023-03-27,0.064510 2025-03-25,0.057110 2025-06-24,0.041670 2019-12-10,0.068190 2020-12-16,0.020080 2022-09-26,0.062650 2023-06-26,0.061390 2023-12-15,0.048860 2024-06-24,0.050720 2020-03-25,0.068670 2020-09-24,0.057800 2020-12-09,0.255150 2021-06-24,0.083160 2021-09-24,0.063940