DIVERSIFIED ROYALTY(BEW) EUR 1.984
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20234.03%EUR 0.08EUR0.022023-04-13
EUR0.022023-03-14
EUR0.022023-02-10
EUR0.022023-01-13
202211.28%EUR 0.224EUR0.019582022-12-13
EUR0.019582022-11-14
EUR0.019582022-10-13
EUR0.018332022-09-14
EUR0.018332022-08-12
EUR0.018332022-07-14
EUR0.018332022-06-14
EUR0.018332022-05-12
EUR0.018332022-04-13
EUR0.018332022-03-14
EUR0.018332022-02-14
EUR0.018332022-01-13
202110.38%EUR 0.206EUR0.018332021-12-14
EUR0.018332021-11-12
EUR0.01752021-10-14
EUR0.01752021-09-14
EUR0.01752021-08-12
EUR0.016672021-07-14
EUR0.016672021-06-14
EUR0.016672021-05-13
EUR0.016672021-04-14
EUR0.016672021-03-12
EUR0.016672021-02-10
EUR0.016672021-01-14
202010.48%EUR 0.208EUR0.016672020-12-14
EUR0.016672020-11-12
EUR0.016672020-10-14
EUR0.016672020-09-14
EUR0.016672020-08-13
EUR0.016672020-07-14
EUR0.016672020-06-12
EUR0.016672020-05-14
EUR0.016672020-04-14
EUR0.019582020-03-13
EUR0.019172020-02-12
EUR0.019172020-01-14
201911.25%EUR 0.223EUR0.019172019-12-12
EUR0.018542019-11-14
EUR0.018542019-10-11
EUR0.018542019-09-13
EUR0.018542019-08-14
EUR0.018542019-07-12
EUR0.018542019-06-13
EUR0.018542019-05-14
EUR0.018542019-04-12
EUR0.018542019-03-14
EUR0.018542019-02-12
EUR0.018542019-01-14
201811.21%EUR 0.222EUR0.018542018-12-12
EUR0.018542018-11-14
EUR0.018542018-10-12
EUR0.018542018-09-13
EUR0.018542018-08-14
EUR0.018542018-07-13
EUR0.018542018-06-14
EUR0.018542018-05-14
EUR0.018542018-04-13
EUR0.018542018-03-14
EUR0.018542018-02-12
EUR0.018542018-01-11
20178.41%EUR 0.167EUR0.018542017-12-12
EUR0.018542017-11-14
EUR0.018542017-10-13
EUR0.018542017-09-14
EUR0.018542017-08-11
EUR0.018542017-07-12
EUR0.018542017-06-13
EUR0.018542017-05-11
EUR0.018542017-04-11