Cognizant Technology Solutions Corporation logo

Cognizant Technology Solutions Corporation CTSH

Market Closed
27 Nov, 15:30
XWBO XWBO
75. 96
-0.6
-0.78%
40.08B Market Cap
- P/E Ratio
1.2% Div Yield
0 Volume
- Eps
76.56
Previous Close
Day Range
75.96 77.27
Year Range
59.58 78.27
Cognizant Technology Solutions Corp logo
CTSH Cognizant Technology Solutions Corp
19 Nov 2024
$0.3 Dividend
27 Nov 2024 Payment Date
19 Nov 2024 Record Date
30 Oct 2024 Declaration Date
Cognizant Technology Solutions Corp logo
CTSH Cognizant Technology Solutions Corp
20 Aug 2024
$0.3 Dividend
28 Aug 2024 Payment Date
20 Aug 2024 Record Date
31 Jul 2024 Declaration Date
Cognizant Technology Solutions Corp logo
CTSH Cognizant Technology Solutions Corp
17 May 2024
$0.3 Dividend
29 May 2024 Payment Date
20 May 2024 Record Date
1 May 2024 Declaration Date
Cognizant Technology Solutions Corp logo
CTSH Cognizant Technology Solutions Corp
16 Feb 2024
$0.3 Dividend
28 Feb 2024 Payment Date
20 Feb 2024 Record Date
6 Feb 2024 Declaration Date
Cognizant Technology Solutions Corp logo
CTSH Cognizant Technology Solutions Corp
20 Nov 2023
$0.29 Dividend
30 Nov 2023 Payment Date
21 Nov 2023 Record Date
1 Nov 2023 Declaration Date
Cognizant Technology Solutions Corp logo
CTSH Cognizant Technology Solutions Corp
18 Aug 2023
$0.29 Dividend
29 Aug 2023 Payment Date
21 Aug 2023 Record Date
2 Aug 2023 Declaration Date
Cognizant Technology Solutions Corp logo
CTSH Cognizant Technology Solutions Corp
18 May 2023
$0.29 Dividend
30 May 2023 Payment Date
19 May 2023 Record Date
3 May 2023 Declaration Date
Cognizant Technology Solutions Corp logo
CTSH Cognizant Technology Solutions Corp
16 Feb 2023
$0.29 Dividend
28 Feb 2023 Payment Date
17 Feb 2023 Record Date
2 Feb 2023 Declaration Date
Cognizant Technology Solutions Corp logo
CTSH Cognizant Technology Solutions Corp
17 Nov 2022
$0.27 Dividend
29 Nov 2022 Payment Date
18 Nov 2022 Record Date
2 Nov 2022 Declaration Date
Cognizant Technology Solutions Corp logo
CTSH Cognizant Technology Solutions Corp
18 Aug 2022
$0.27 Dividend
30 Aug 2022 Payment Date
19 Aug 2022 Record Date
26 Jul 2022 Declaration Date