National Storage Affiliates Trust(4GC) EUR 36.4
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.28%EUR 0.466USD0.552023-03-14
20225.01%EUR 1.822USD0.552022-12-14
USD0.552022-09-14
USD0.552022-06-14
USD0.52022-03-14
20213.70%EUR 1.348USD0.452021-12-14
USD0.412021-09-14
USD0.382021-06-14
USD0.352021-03-12
20203.14%EUR 1.144USD0.352020-12-14
USD0.342020-09-14
USD0.332020-06-12
USD0.332020-03-12
20192.96%EUR 1.076USD0.332019-12-12
USD0.322019-09-12
USD0.322019-06-13
USD0.32019-03-14
20182.70%EUR 0.983USD0.32018-12-13
USD0.292018-09-13
USD0.292018-06-14
USD0.282018-03-14
20172.42%EUR 0.882USD0.282017-12-14
USD0.262017-09-14
USD0.262017-06-13
USD0.242017-03-13
20162.05%EUR 0.746USD0.242016-12-13
USD0.222016-09-13
USD0.222016-06-13
USD0.22016-03-11
20150.47%EUR 0.17USD0.22015-12-11