Johnson Controls International plc logo

Johnson Controls International plc JCI

Market Closed
6 Sep, 20:00
NYSE NYSE
$
67. 84
-1.54
-2.22%
After Hours
$
66. 55
-1.29 -1.9%
43.38B Market Cap
19.49 P/E Ratio
1.48% Div Yield
4,249,100 Volume
3.54 Eps
$ 69.38
Previous Close
Day Range
67.68 70.32
Year Range
47.9 75.36
Johnson Controls International plc logo
JCI Johnson Controls International plc
24 Jun 2024
$0.37 Dividend
19 Jul 2024 Payment Date
24 Jun 2024 Record Date
12 Jun 2024 Declaration Date
Johnson Controls International plc logo
JCI Johnson Controls International plc
22 Mar 2024
$0.37 Dividend
19 Apr 2024 Payment Date
25 Mar 2024 Record Date
13 Mar 2024 Declaration Date
Johnson Controls International plc logo
JCI Johnson Controls International plc
15 Dec 2023
$0.37 Dividend
12 Jan 2024 Payment Date
18 Dec 2023 Record Date
6 Dec 2023 Declaration Date
Johnson Controls International plc logo
JCI Johnson Controls International plc
22 Sep 2023
$0.37 Dividend
20 Oct 2023 Payment Date
25 Sep 2023 Record Date
13 Sep 2023 Declaration Date
Johnson Controls International plc logo
JCI Johnson Controls International plc
16 Jun 2023
$0.37 Dividend
14 Jul 2023 Payment Date
20 Jun 2023 Record Date
7 Jun 2023 Declaration Date
Johnson Controls International plc logo
JCI Johnson Controls International plc
17 Mar 2023
$0.36 Dividend
14 Apr 2023 Payment Date
20 Mar 2023 Record Date
8 Mar 2023 Declaration Date
Johnson Controls International plc logo
JCI Johnson Controls International plc
16 Dec 2022
$0.35 Dividend
13 Jan 2023 Payment Date
19 Dec 2022 Record Date
7 Dec 2022 Declaration Date
Johnson Controls International plc logo
JCI Johnson Controls International plc
23 Sep 2022
$0.35 Dividend
14 Oct 2022 Payment Date
26 Sep 2022 Record Date
14 Sep 2022 Declaration Date
Johnson Controls International plc logo
JCI Johnson Controls International plc
17 Jun 2022
$0.35 Dividend
15 Jul 2022 Payment Date
21 Jun 2022 Record Date
8 Jun 2022 Declaration Date
Johnson Controls International plc logo
JCI Johnson Controls International plc
18 Mar 2022
$0.35 Dividend
14 Apr 2022 Payment Date
21 Mar 2022 Record Date
9 Mar 2022 Declaration Date