DividendInvestor.com

First In Dividend Data Worldwide®

DIVIDEND ANNOUNCEMENT: CNO Financial Group Inc (NYSE:CNO) on 11/09/2022 declared a dividend of $0.1400 per share

November 09, 2022

CNO Financial Group Inc (NYSE:CNO) on 11/09/2022 declared a dividend of $ 0.1400 per share payable on December 23, 2022 to shareholders of record as of December 09, 2022.

CNO Financial Group Inc (NYSE:CNO) has paid dividends since 2012, has a current dividend yield of 2.5594151020% and has increased its dividends for 9 successive years.

CNO Financial Group Inc's market cap is $ 2,503,137,640 and has a PE ratio of 5.79. The stock price closed yesterday at $ 21.88 and has a 52 week low/high of $ 16.56 and $ 26.74.

CNO Financial Group is a holding company. Through its insurance subsidiaries, Co. develops, markets and administers health insurance, annuity, individual life insurance and other insurance products. Co. focuses on serving middle-income pre-retiree and retired Americans. Co. sells its products through agents, independent producers (some of whom sell one or more of its product lines) and direct marketing. Co.'s insurance product line segments (including annuity, health and life) include marketing, underwriting and administration of the policies its insurance subsidiaries sell.

For more information on CNO Financial Group Inc click here.

CNO Financial Group Inc current dividend information as per the date of this press release is:
Dividend Declaration Date: November 09, 2022
Dividend Ex Date: December 08, 2022
Dividend Record Date: December 09, 2022
Dividend Payment Date: December 23, 2022
Dividend Amount: $ 0.1400
 
 

DividendInvestor.com

DividendInvestor.com is a leading worldwide independent provider of dividend information and data for investment professionals. Our mission is to be the First In Dividend Data Worldwide® by designing and developing essential tools and systems for the investment community with the highest level of accuracy and integrity.

Contact:
info@DividendInvestor.com

X
Search Dividend Investor