Date,Dividends 2019-10-01,0.088000 2022-05-02,0.039310 2022-10-03,0.054762 2022-12-01,0.061190 2024-06-03,0.104444 2024-07-01,0.095556 2021-08-02,0.031538 2023-10-02,0.112308 2024-08-01,0.092727 2025-03-03,0.096000 2019-12-26,0.105000 2023-08-01,0.079550 2025-04-01,0.100000 2019-03-01,0.049800 2020-10-01,0.062800 2022-07-01,0.052500 2023-12-01,0.099000 2024-05-01,0.100000 2024-12-02,0.096000 2019-04-01,0.092000 2019-06-03,0.089500 2020-05-01,0.188000 2021-04-01,0.056615 2022-02-01,0.036250 2023-09-01,0.095000 2024-09-03,0.085455 2019-08-01,0.087765 2021-06-01,0.044889 2021-12-27,0.040000 2022-03-01,0.026417 2023-06-01,0.086667 2024-04-01,0.095556 2025-05-01,0.096000 2020-06-01,0.055000 2020-11-02,0.069047 2021-09-01,0.030533 2024-10-01,0.102000 2024-11-01,0.098000 2022-09-01,0.051900 2025-08-01,0.087154 2025-06-02,0.096000 2019-05-01,0.082000 2020-02-03,0.140000 2020-07-01,0.035000 2021-02-01,0.053167 2022-06-01,0.065652 2023-04-03,0.082222 2023-05-01,0.070588 2019-09-03,0.090000 2020-12-01,0.059048 2023-07-03,0.073605 2023-12-26,0.086320 2019-07-01,0.083650 2020-04-01,0.088500 2021-10-01,0.039604 2021-11-01,0.036676 2024-03-01,0.093333 2020-08-03,0.070333 2020-12-28,0.113334 2021-07-01,0.040181 2022-08-01,0.057489 2023-03-01,0.082794 2025-02-03,0.080000 2020-03-02,0.076000 2021-05-03,0.049385 2021-12-01,0.039512 2023-02-01,0.062000 2020-09-01,0.064000 2024-12-26,0.114000 2025-07-01,0.106000 2019-11-01,0.086600 2019-12-02,0.080000 2021-03-01,0.042863 2022-04-01,0.026897 2022-11-01,0.058876 2022-12-27,0.052500 2023-11-01,0.108960 2024-02-01,0.100000