KANSAI EL POWER(KPO) EUR 8.9
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
2022561.80%EUR 50EUR252022-09-29
EUR252022-03-30
2021561.80%EUR 50EUR252021-09-29
252021-03-30
2020561.80%EUR 50252020-09-29
252020-03-30
2019561.80%EUR 50252019-09-27
252019-03-27
2018505.62%EUR 45252018-09-26
202018-03-28
2017449.44%EUR 40152017-09-27
252017-03-29
2012337.08%EUR 30302012-03-28
2011674.16%EUR 60302011-09-28
302011-03-29
2010674.16%EUR 60302010-09-28
302010-03-29
2009674.16%EUR 60302009-09-25
302009-03-26
2008599.25%EUR 53.333302008-09-25
EUR23.33332008-03-26
2007524.34%EUR 46.667EUR23.33332007-09-25
EUR23.33332007-03-27
2006568.04%EUR 50.556EUR23.33332006-09-26
EUR27.22222006-03-28
2005436.95%EUR 38.889EUR19.44442005-09-27
EUR19.44442005-03-28