Fujitsu General Limited(29F) EUR 26
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.98%EUR 0.255JPY172022-09-29
JPY162022-03-30
20210.92%EUR 0.239JPY162021-09-29
JPY152021-03-30
20200.86%EUR 0.224JPY152020-09-29
JPY142020-03-30
20190.80%EUR 0.209JPY142019-09-27
JPY132019-03-27
20180.74%EUR 0.193JPY132018-09-26
JPY122018-03-28
20170.36%EUR 0.093JPY122017-09-27