FISKER INC. CL.A  O.N. logo

FISKER INC. CL.A O.N. FIS

Market Closed
13 Sep, 20:00
XBER XBER
0. 11
0
0%
45.57B Market Cap
- P/E Ratio
1.44% Div Yield
0 Volume
3.37 Eps
0.11
Previous Close
Day Range
0.11 0.11
Year Range
0.11 6.72
Fidelity National Information Services Inc logo
FIS Fidelity National Information Services Inc
10 Sep 2024
$0.36 Dividend
24 Sep 2024 Payment Date
10 Sep 2024 Record Date
1 Aug 2024 Declaration Date
Fidelity National Information Services Inc logo
FIS Fidelity National Information Services Inc
10 Jun 2024
$0.36 Dividend
24 Jun 2024 Payment Date
10 Jun 2024 Record Date
25 Apr 2024 Declaration Date
Fidelity National Information Services Inc logo
FIS Fidelity National Information Services Inc
7 Mar 2024
$0.36 Dividend
22 Mar 2024 Payment Date
8 Mar 2024 Record Date
26 Feb 2024 Declaration Date
Fidelity National Information Services Inc logo
FIS Fidelity National Information Services Inc
7 Dec 2023
$0.52 Dividend
22 Dec 2023 Payment Date
8 Dec 2023 Record Date
19 Oct 2023 Declaration Date
Fidelity National Information Services Inc logo
FIS Fidelity National Information Services Inc
7 Sep 2023
$0.52 Dividend
22 Sep 2023 Payment Date
8 Sep 2023 Record Date
20 Jul 2023 Declaration Date
Fidelity National Information Services Inc logo
FIS Fidelity National Information Services Inc
8 Jun 2023
$0.52 Dividend
23 Jun 2023 Payment Date
9 Jun 2023 Record Date
20 Apr 2023 Declaration Date
Fidelity National Information Services Inc logo
FIS Fidelity National Information Services Inc
9 Mar 2023
$0.52 Dividend
24 Mar 2023 Payment Date
10 Mar 2023 Record Date
26 Jan 2023 Declaration Date
Fidelity National Information Services Inc logo
FIS Fidelity National Information Services Inc
9 Feb 2023
$0.52 Dividend
- Payment Date
- Record Date
- Declaration Date
Fidelity National Information Services Inc logo
FIS Fidelity National Information Services Inc
8 Dec 2022
$0.47 Dividend
23 Dec 2022 Payment Date
9 Dec 2022 Record Date
20 Oct 2022 Declaration Date
Fidelity National Information Services Inc logo
FIS Fidelity National Information Services Inc
15 Sep 2022
$0.47 Dividend
30 Sep 2022 Payment Date
16 Sep 2022 Record Date
21 Jul 2022 Declaration Date