Fisker Inc. logo

Fisker Inc. FIS

Market Closed
27 Mar, 20:00
XMUN XMUN
0. 03
-0
-2.36%
45.57B Market Cap
- P/E Ratio
1.44% Div Yield
75,000 Volume
3.37 Eps
0.03
Previous Close
Day Range
0.03 0.03
Year Range
0.03 6.57
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