OLAM GROUP LTD(K25) EUR 1.08
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.87%EUR 0.085EUR0.042022-08-19
EUR0.0452022-03-10
20217.30%EUR 0.079EUR0.042021-08-20
EUR0.038822021-04-30
202011.36%EUR 0.123EUR0.033972020-08-20
EUR0.043672020-05-27
EUR0.0452020-05-04
20196.74%EUR 0.073EUR0.033972019-08-21
EUR0.038822019-05-02
20186.74%EUR 0.073EUR0.033972018-08-20
EUR0.038822018-05-02
20175.84%EUR 0.063EUR0.033972017-08-30
EUR0.029112017-05-02
20165.84%EUR 0.063EUR0.029112016-08-18
EUR0.033972016-04-28
20152.25%EUR 0.024EUR0.024262015-08-20
20142.25%EUR 0.024EUR0.024262014-11-04
20133.59%EUR 0.039EUR0.038822013-11-05
20123.43%EUR 0.037EUR0.037022012-11-06
20114.28%EUR 0.046EUR0.046272011-11-04