SU

TD Synnex CorpFRA TD Stock Report

Last reporting period 31 Aug, 2024

Updated 21 Nov, 2024

Last price

Market cap $B

10.159

Large

Exchange

XFRA - Deutsche Boerse AG

View Section: Cash Flow Statement

TD Dividends

SU

TD dividend yield is 1.63%

The annual dividend is 1.78 EUR

SUX.F dividend metrics

Payout ratio
25.09%
Dividend yield
1.63%
Annual dividend
1.78
Dividend streak
10 years
Average dividend yield over 3 years
1.59%
Average dividend yield over 5 years
1.47%

Dividend per share

1y
3y
5y
All time
By years
By payments
This ticker has no dividend history

SUX.F dividend history

Ex-dividend date

Amount

Share price

Yield

11 October 2024

0.37

109.40

0.33 %

12 July 2024

0.37

104.34

0.35 %

11 April 2024

0.37

105.84

0.35 %

18 January 2024

0.37

95.33

0.39 %

12 October 2023

0.33

90.65

0.36 %

13 July 2023

0.32

88.58

0.36 %

13 April 2023

0.32

85.06

0.38 %

19 January 2023

0.32

100.00

0.32 %

13 October 2022

0.31

84.30

0.37 %

14 July 2022

0.30

89.87

0.33 %

07 April 2022

0.28

91.47

0.30 %

20 January 2022

0.26

93.88

0.28 %

14 October 2021

0.17

89.18

0.19 %

15 July 2021

0.17

99.05

0.17 %

15 April 2021

0.17

101.30

0.17 %

21 January 2021

0.16

74.58

0.22 %

23 January 2020

0.36

66.22

0.54 %

10 October 2019

0.34

51.02

0.67 %

11 July 2019

0.33

42.96

0.78 %

11 April 2019

0.33

46.38

0.72 %

18 January 2019

0.33

39.90

0.82 %

11 October 2018

0.30

34.63

0.88 %

12 July 2018

0.30

43.05

0.69 %

12 April 2018

0.28

41.80

0.68 %

18 January 2018

0.29

54.99

0.52 %

12 October 2017

0.25

56.31

0.45 %

12 July 2017

0.22

52.42

0.42 %

11 April 2017

0.24

48.94

0.48 %

11 January 2017

0.24

57.79

0.41 %

12 October 2016

0.23

48.92

0.46 %

13 July 2016

0.18

44.11

0.41 %

13 April 2016

0.18

37.93

0.46 %

14 January 2016

0.18

37.33

0.49 %

14 October 2015

0.18

40.79

0.43 %

15 July 2015

0.11

33.56

0.34 %

15 April 2015

0.12

35.37

0.33 %

14 January 2015

0.11

32.97

0.32 %

View Section: Other Information