Date,Dividends 2020-06-22,0.069390 2022-09-19,0.098010 2022-03-21,0.092440 2022-06-21,0.100270 2023-06-20,0.032840 2025-12-22,0.129170 2025-06-23,0.085130 2019-12-23,0.196520 2020-09-21,0.096840 2021-09-20,0.094460 2024-03-18,0.081880 2024-06-24,0.080680 2024-09-23,0.092190 2025-03-24,0.101040 2021-06-21,0.085200 2026-06-22,0.089500 2020-12-21,0.092480 2021-12-20,0.118300 2019-06-24,0.076300 2020-03-23,0.073090 2022-12-19,0.072890 2023-12-18,0.089650 2025-09-22,0.344660 2026-03-23,0.086950 2018-12-24,0.053360 2019-03-18,0.051180 2019-09-23,0.078740 2021-03-22,0.096190 2023-03-20,0.057000 2023-09-18,0.108790 2024-12-23,0.097920