CANADIAN NATL RLWY(CY2) EUR 111.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.62%EUR 2.93EUR0.73252022-12-07
EUR0.73252022-09-07
EUR0.73252022-06-08
EUR0.73252022-03-09
20212.20%EUR 2.46EUR0.6152021-12-08
0.6152021-09-07
0.6152021-06-08
0.6152021-03-09
20202.06%EUR 2.30.5752020-12-08
0.5752020-09-08
0.5752020-06-08
0.5752020-03-09
20191.92%EUR 2.150.53752019-12-06
0.53752019-09-06
0.53752019-06-06
0.53752019-03-07
20181.63%EUR 1.820.4552018-12-06
0.4552018-09-06
0.4552018-06-07
0.4552018-03-07
20171.48%EUR 1.650.41252017-12-07
0.41252017-09-07
0.41252017-06-07
0.41252017-03-08
20160.67%EUR 0.750.3752016-12-07
0.3752016-03-08
20151.12%EUR 1.250.31252015-12-08
0.31252015-09-04
0.31252015-06-05
0.31252015-03-06
20140.89%EUR 10.252014-12-08
0.252014-09-05
0.252014-06-05
0.252014-03-06
20130.77%EUR 0.860.2152013-12-06
0.2152013-09-05
0.2152013-06-05
0.2152013-03-05
20120.67%EUR 0.750.18752012-12-06
0.18752012-09-05
0.18752012-06-06
0.18752012-03-07
20110.58%EUR 0.650.16252011-12-07
0.16252011-09-07
0.16252011-06-07
0.16252011-03-08
20100.36%EUR 0.4050.1352010-12-08
0.1352010-09-07
0.1352010-06-07