Honeywell International Inc logo

Honeywell International Inc (HON)

Market Closed
26 Dec, 20:00
NASDAQ (NGS) NASDAQ (NGS)
$
231. 86
+2.96
+1.29%
Pre Market
$
232. 12
+0.26 +0.11%
148.81B Market Cap
24.91 P/E Ratio
18.94% Div Yield
4,584,333 Volume
9.16 Eps
$ 228.9
Previous Close
Day Range
228.42 232.01
Year Range
189.66 242.77
Want to track HON and more in your Portfolio? 🎯
Sign up for Marketlog, a portfolio tracker that will exceed your expectations!
Honeywell International Inc logo
HON Honeywell International Inc
15 Nov 2024
$1.13 Dividend
6 Dec 2024 Payment Date
15 Nov 2024 Record Date
27 Sep 2024 Declaration Date
Honeywell International Inc logo
HON Honeywell International Inc
16 Aug 2024
$1.08 Dividend
6 Sep 2024 Payment Date
16 Aug 2024 Record Date
26 Jul 2024 Declaration Date
Honeywell International Inc logo
HON Honeywell International Inc
16 May 2024
$1.08 Dividend
7 Jun 2024 Payment Date
17 May 2024 Record Date
29 Apr 2024 Declaration Date
Honeywell International Inc logo
HON Honeywell International Inc
29 Feb 2024
$1.08 Dividend
15 Mar 2024 Payment Date
1 Mar 2024 Record Date
16 Feb 2024 Declaration Date
Honeywell International Inc logo
HON Honeywell International Inc
9 Nov 2023
$1.08 Dividend
1 Dec 2023 Payment Date
10 Nov 2023 Record Date
29 Sep 2023 Declaration Date
Honeywell International Inc logo
HON Honeywell International Inc
10 Aug 2023
$1.03 Dividend
1 Sep 2023 Payment Date
11 Aug 2023 Record Date
28 Jul 2023 Declaration Date
Honeywell International Inc logo
HON Honeywell International Inc
11 May 2023
$1.03 Dividend
2 Jun 2023 Payment Date
12 May 2023 Record Date
24 Apr 2023 Declaration Date
Honeywell International Inc logo
HON Honeywell International Inc
23 Feb 2023
$1.03 Dividend
10 Mar 2023 Payment Date
24 Feb 2023 Record Date
10 Feb 2023 Declaration Date
Honeywell International Inc logo
HON Honeywell International Inc
9 Nov 2022
$1.03 Dividend
2 Dec 2022 Payment Date
11 Nov 2022 Record Date
30 Sep 2022 Declaration Date
Honeywell International Inc logo
HON Honeywell International Inc
11 Aug 2022
$0.98 Dividend
2 Sep 2022 Payment Date
12 Aug 2022 Record Date
29 Jul 2022 Declaration Date