PENNON GROUP NEW LS-6105(3PN) EUR 9.665
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.34%EUR 0.13EUR0.12962023-01-26
20223.99%EUR 0.385EUR0.26832022-07-21
EUR0.1172022-01-27
202140.11%EUR 3.876EUR0.22462021-07-22
EUR3.552021-07-05
EUR0.101552021-01-28
20206.79%EUR 0.657EUR0.451652020-07-23
EUR0.20492020-01-23
20196.37%EUR 0.616EUR0.42332019-07-25
EUR0.19262019-01-24
20185.99%EUR 0.579EUR0.39932018-07-05
EUR0.179552018-01-25
20175.58%EUR 0.539EUR0.373052017-07-06
EUR0.166352017-02-02
20165.21%EUR 0.504EUR0.34682016-07-07
EUR0.15692016-01-28
20154.94%EUR 0.477EUR0.32732015-08-06
EUR0.14972015-01-29
20144.87%EUR 0.47EUR0.31382014-08-06
EUR0.15652014-01-29
20134.76%EUR 0.46EUR0.328332013-08-07
EUR0.13142013-01-30
20124.26%EUR 0.412EUR0.27452012-08-08
EUR0.1372012-02-01
20114.12%EUR 0.398EUR0.285832011-08-10
EUR0.11252011-01-19
20102.42%EUR 0.234EUR0.2342010-08-11