Unifirst Corp (UNF)

Dividend Yield

UNF has a dividend yield of 0.75% based on $1.34 in yearly dividends. A payment is upcoming and will be paid on 2025-01-03 in the amount of $0.35.
Dividend Yield 0.75% Annual Dividends $1.34
Price 179.13 Payments per Year 4
Declaration Date 2024-10-29 Ex Dividend Date 2024-12-06
Record Date 2024-12-06 Payment Date 2025-01-03
Stock Index ETFs
SPY S&P 500 ETF   591.15 5.05 (0.86%)
QQQ Nasdaq 100 ETF   518.66 4.49 (0.87%)
DIA Dow Jones ETF   428.54 4.01 (0.94%)
ONEQ Nasdaq Comp ETF   77.21 0.66 (0.86%)
Prices provided by Polygon.io

UNF Dividend History

UNF Dividend Payments

Dividend Ex Div Date Pay Date
$0.35 2024-12-06 2025-01-03
$0.33 2024-09-06 2024-09-27
$0.33 2024-06-07 2024-06-28
$0.33 2024-03-07 2024-03-29
$0.33 2023-12-06 2024-01-04
$0.31 2023-09-06 2023-09-28
$0.31 2023-06-07 2023-06-29
$0.31 2023-03-08 2023-03-30
$0.31 2022-12-06 2023-01-04
$0.30 2022-09-06 2022-09-28
$0.30 2022-06-07 2022-06-29
$0.30 2022-03-08 2022-03-30
$0.30 2021-12-06 2022-01-04
$0.25 2021-09-03 2021-09-28
$0.25 2021-06-07 2021-06-29
$0.25 2021-03-08 2021-03-30
$0.25 2020-12-04 2021-01-04
$0.25 2020-09-03 2020-09-28
$0.25 2020-06-05 2020-06-29
$0.25 2020-03-06 2020-03-30
$0.25 2019-12-05 2020-01-03
$0.1125 2019-09-05 2019-09-27
$0.1125 2019-06-06 2019-06-28
$0.1125 2019-03-07 2019-03-29
$0.1125 2018-12-06 2019-01-04
$0.1125 2018-09-06 2018-09-28
$0.1125 2018-06-07 2018-06-29
$0.0375 2018-03-08 2018-03-30
$0.0375 2017-12-07 2018-01-05
$0.0375 2017-09-07 2017-09-29
$0.0375 2017-06-07 2017-06-30
$0.0375 2017-03-08 2017-03-31
$0.0375 2016-12-07 2017-01-06
$0.0375 2016-09-07 2016-09-30
$0.0375 2016-06-08 2016-07-01
$0.0375 2016-03-09 2016-04-01
$0.0375 2015-12-08 2016-01-07
$0.0375 2015-09-08 2015-10-01
$0.0375 2015-06-09 2015-07-02
$0.0375 2015-03-10 2015-04-02
$0.0375 2014-12-08 2015-01-07
$0.0375 2014-09-08 2014-10-01
$0.0375 2014-06-09 2014-07-02
$0.0375 2014-03-10 2014-04-02
$0.0375 2013-12-06 2014-01-07
$0.0375 2013-09-06 2013-10-01
$0.0375 2013-06-07 2013-07-02
$0.0375 2013-03-08 2013-04-02
$0.0375 2012-12-06 2012-12-27
$0.0375 2012-09-06 2012-10-01
$0.0375 2012-06-07 2012-07-02
$0.0375 2012-03-08 2012-04-02
$0.0375 2011-12-07 2012-01-06
$0.0375 2011-09-07 2011-09-30
$0.0375 2011-06-08 2011-07-01
$0.0375 2011-03-09 2011-04-01
$0.0375 2010-12-08 2011-01-07
$0.0375 2010-09-08 2010-10-01
$0.0375 2010-06-09 2010-07-02
$0.0375 2010-03-10 2010-04-02
$0.0375 2009-12-08 2010-01-07
$0.0375 2009-09-09 2009-10-02
$0.0375 2009-06-10 2009-07-02
$0.0375 2009-03-11 2009-04-03
$0.0375 2008-12-08 2009-01-07
$0.0375 2008-09-10 2008-10-03
$0.0375 2008-06-10 2008-07-03
$0.0375 2008-03-11 2008-04-03
$0.0375 2007-12-06 2008-01-07
$0.0375 2007-09-10 2007-10-03
$0.0375 2007-06-08 2007-07-03
$0.0375 2007-03-09 2007-04-03
$0.0375 2006-12-06 2007-01-05
$0.0375 2006-09-08 2006-10-03
$0.0375 2006-06-08 2006-07-03
$0.0375 2006-03-10 2006-04-04
$0.0375 2005-12-07 2006-01-06
$0.0375 2005-09-08 2005-10-03
$0.0375 2005-06-08 2005-07-01
$0.0375 2005-03-10 2005-04-04
$0.0375 2004-12-08 2005-01-06
$0.0375 2004-09-08 2004-10-01
$0.0375 2004-06-09 2004-07-02
$0.0375 2004-03-11 2004-04-05
$0.0375 2003-12-08 2004-01-06