KON. KPN NV ADR/1 O.N.(KPNB) EUR 3.22
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20233.21%EUR 0.103EUR0.103282023-04-14
20224.57%EUR 0.147EUR0.048942022-08-09
EUR0.098292022-04-19
20214.91%EUR 0.158EUR0.053312021-08-09
EUR0.104672021-04-16
20204.35%EUR 0.14EUR0.050492020-08-07
EUR0.089632020-04-17
20194.24%EUR 0.136EUR0.046422019-08-06
EUR0.090042019-04-12
20184.68%EUR 0.151EUR0.046482018-08-03
EUR0.015152018-06-01
EUR0.088982018-04-20
20174.18%EUR 0.135EUR0.043862017-08-03
EUR0.019092017-05-16
EUR0.071562017-04-18
201613.25%EUR 0.427EUR0.031352016-08-04
EUR0.310862016-06-28
EUR0.027852016-05-23
EUR0.056452016-04-14
20153.87%EUR 0.125EUR0.03422015-09-14
EUR0.03692015-08-06
EUR0.05362015-04-16
20140.78%EUR 0.025EUR0.02522014-10-09