Kohls Corporation (KSS)

Dividend Yield

KSS has a dividend yield of 2.86% based on $0.50 in yearly dividends. The most recent payment was on 2025-12-24 in the amount of $0.13.
Dividend Yield2.86%Annual Dividends$0.50
Price17.47Payments per Year4
Declaration Date2025-11-12Ex Dividend Date2025-12-10
Record Date2025-12-10Payment Date2025-12-24
Stock Index ETFs
SPYS&P 500 ETFSPY  691.97-2.07(-0.30%)
QQQNasdaq 100 ETFQQQ  621.87-7.56(-1.20%)
DIADow Jones ETFDIA  489.03-1.18(-0.24%)
Prices provided by Massive

KSS Dividend History

KSS Dividend Payments

DividendEx Div DatePay Date
$0.132025-12-102025-12-24
$0.132025-09-102025-09-24
$0.132025-06-112025-06-25
$0.132025-03-212025-04-02
$0.502024-12-112024-12-24
$0.502024-09-112024-09-25
$0.502024-06-122024-06-26
$0.502024-03-192024-04-03
$0.502023-12-052023-12-20
$0.502023-09-052023-09-20
$0.502023-06-062023-06-21
$0.502023-03-142023-03-29
$0.502022-12-062022-12-21
$0.502022-09-062022-09-21
$0.502022-06-072022-06-22
$0.502022-03-152022-03-30
$0.252021-12-072021-12-22
$0.252021-09-072021-09-22
$0.252021-06-082021-06-23
$0.252021-03-162021-03-31
$0.702020-03-172020-04-01
$0.672019-12-102019-12-24
$0.672019-09-102019-09-25
$0.672019-06-112019-06-26
$0.672019-03-192019-04-03
$0.612018-12-112018-12-26
$0.612018-09-112018-09-26
$0.612018-06-122018-06-27
$0.612018-03-132018-03-28
$0.552017-12-052017-12-20
$0.552017-09-012017-09-20
$0.552017-06-052017-06-21
$0.552017-03-062017-03-22
$0.502016-12-052016-12-21
$0.502016-09-022016-09-21
$0.502016-06-062016-06-22
$0.502016-03-072016-03-23
$0.452015-12-072015-12-23
$0.452015-09-042015-09-23
$0.452015-06-082015-06-24
$0.452015-03-092015-03-25
$0.392014-12-082014-12-24
$0.392014-09-082014-09-24
$0.392014-06-092014-06-25
$0.392014-03-102014-03-26
$0.352013-12-092013-12-24
$0.352013-09-092013-09-25
$0.352013-06-102013-06-26
$0.352013-03-112013-03-27
$0.322012-12-032012-12-26
$0.322012-08-312012-09-26
$0.322012-06-042012-06-27
$0.322012-03-052012-03-28
$0.252011-12-052011-12-28
$0.252011-09-022011-09-28
$0.252011-06-062011-06-29
$0.252011-03-072011-03-30