PASON SYSTEMS(3PS) EUR 6
Dividend Yield(TTM) =4.83%
Year Yield Total Amount Ex Date
20224.00%EUR 0.24EUR0.082022-09-14
EUR0.082022-06-14
EUR0.082022-03-14
20213.33%EUR 0.2EUR0.052021-12-14
0.052021-09-14
EUR0.052021-06-14
EUR0.052021-03-15
20208.00%EUR 0.48EUR0.052020-12-15
EUR0.052020-09-15
EUR0.192020-06-12
EUR0.192020-03-13
201912.33%EUR 0.74EUR0.192019-12-13
EUR0.192019-09-12
EUR0.182019-06-13
EUR0.182019-03-14
201811.67%EUR 0.7EUR0.182018-12-13
EUR0.182018-09-13
EUR0.172018-06-14
EUR0.172018-03-15
201711.33%EUR 0.68EUR0.172017-12-14
EUR0.172017-09-14
EUR0.172017-06-13
EUR0.172017-03-14
201611.33%EUR 0.68EUR0.172016-12-14
EUR0.172016-09-14
EUR0.172016-06-13
EUR0.172016-03-14
201511.33%EUR 0.68EUR0.172015-12-14
EUR0.172015-09-14
EUR0.172015-06-12
EUR0.172015-03-12
201410.67%EUR 0.64EUR0.172014-12-12
EUR0.172014-09-12
EUR0.152014-06-11
EUR0.152014-03-12
20138.83%EUR 0.53EUR0.142013-12-12
EUR0.132013-09-12
EUR0.132013-06-12
EUR0.132013-03-13
20127.67%EUR 0.46EUR0.242012-12-12
EUR0.222012-06-13
20116.33%EUR 0.38EUR0.22011-12-13
EUR0.182011-06-13
20105.50%EUR 0.33EUR0.172010-12-13
EUR0.162010-06-11
20094.33%EUR 0.26EUR0.142009-12-11
EUR0.122009-06-11
20083.67%EUR 0.22EUR0.122008-12-10
EUR0.12008-06-11
20071.42%EUR 0.085EUR0.0852007-12-12