GETINGE -B-(GTN) EUR 22.45
Dividend Yield(TTM) =17.82%
Year Yield Total Amount Ex Date
202217.82%EUR 4EUR42022-04-27
202113.36%EUR 332021-04-21
202013.36%EUR 31.52020-06-29
1.52020-04-23
20194.45%EUR 112019-04-24
20186.68%EUR 1.51.52018-04-27
20178.41%EUR 1.8881.88762017-03-30
201611.77%EUR 2.6432.642642016-03-31
201511.77%EUR 2.6432.642642015-03-26
201417.45%EUR 3.9173.916782014-03-21
201317.45%EUR 3.9173.916782013-03-22
201215.77%EUR 3.5393.539262012-03-29
201113.66%EUR 3.0673.067352011-04-28
201011.56%EUR 2.5952.595452010-04-22
200910.09%EUR 2.2652.265122009-04-22
200810.09%EUR 2.2652.265122008-04-18
20079.25%EUR 2.0762.076362007-04-20
20068.41%EUR 1.8881.88762006-04-21
20056.94%EUR 1.5571.557272005-04-25