The First of Long Island Corporation (FLIC)
Jun 2, 2025 - FLIC was delisted (reason: merged into CNOB)
11.87
+0.03 (0.25%)
Inactive · Last trade price on May 30, 2025

FLIC Dividend Information

FLIC has been delisted and will not pay dividends anymore.

Dividend Yield
7.08%
Annual Dividend
$0.84
Ex-Dividend Date
Mar 24, 2025
Payout Frequency
Quarterly
Payout Ratio
116.66%
Dividend Growth
n/a
Buyback Yield
-0.18%
Shareholder Yield
6.90%

Dividend History

Ex-Div Date AmountDeclaration DateRecord DatePay Date
2025-03-24$0.2102025-03-132025-03-242025-04-03
2024-12-31$0.2102024-12-202024-12-312025-01-09
2024-10-11$0.2102024-10-012024-10-112024-10-21
2024-07-10$0.2102024-06-282024-07-102024-07-18
2024-03-12$0.2102024-02-292024-03-132024-03-21
2023-12-29$0.2102023-12-152024-01-022024-01-11
2023-10-10$0.2102023-09-292023-10-112023-10-19
2023-07-11$0.2102023-06-302023-07-122023-07-20
2023-03-15$0.2102023-03-032023-03-162023-03-24
2022-12-30$0.2102022-12-162023-01-032023-01-12
2022-10-11$0.2102022-09-302022-10-122022-10-21
2022-07-13$0.2002022-07-012022-07-142022-07-22
2022-03-15$0.2002022-03-042022-03-162022-03-24
2022-01-04$0.2002021-12-172022-01-052022-01-14
2021-10-07$0.2002021-09-242021-10-082021-10-18
2021-07-07$0.1902021-06-252021-07-082021-07-16
2021-03-09$0.1902021-02-252021-03-102021-03-19
2021-01-08$0.1902020-12-182021-01-112021-01-21
2020-10-09$0.1902020-09-242020-10-132020-10-22
2020-07-08$0.1802020-06-252020-07-092020-07-20
2020-03-16$0.1802020-03-062020-03-172020-03-27
2020-01-07$0.1802019-12-202020-01-082020-01-20
2019-10-08$0.1802019-09-262019-10-092019-10-18
2019-07-11$0.1702019-06-272019-07-122019-07-22
2019-03-11$0.1702019-02-282019-03-122019-03-20
2019-01-02$0.1702018-12-202019-01-032019-01-14
2018-10-09$0.1702018-09-272018-10-102018-10-19
2018-07-09$0.1502018-06-282018-07-102018-07-19
2018-03-15$0.1502018-03-012018-03-162018-04-04
2017-12-28$0.1502017-12-182017-12-292018-01-10
2017-10-10$0.1502017-09-292017-10-112017-10-20
2017-07-06$0.1402017-06-302017-07-102017-07-18
2017-03-15$0.1402017-03-062017-03-172017-04-03
2016-12-29$0.1402016-12-222017-01-032017-01-13
2016-10-03$0.1402016-09-212016-10-052016-10-14
2016-06-30$0.133332016-06-222016-07-052016-07-15
2016-03-16$0.133332016-03-022016-03-182016-04-04
2015-12-24$0.133332015-12-162015-12-292016-01-08
2015-09-28$0.133332015-09-162015-09-302015-10-09
2015-06-29$0.126672015-06-182015-07-012015-07-10
* Dividend amounts are adjusted for stock splits when applicable.

Dividend Charts