KRUNG THAI -FGN- BA 515(KTB1) EUR 0.434
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
2023157.14%EUR 0.682EUR0.6822023-04-18
202296.31%EUR 0.418EUR0.4182022-04-20
202163.36%EUR 0.275EUR0.2752021-04-21
2020173.50%EUR 0.753EUR0.7532020-04-08
2019165.44%EUR 0.718EUR0.7182019-04-23
2018140.55%EUR 0.61EUR0.612018-05-07
2017198.16%EUR 0.86EUR0.862017-05-08
2016175.12%EUR 0.76EUR0.762016-05-10
2015207.37%EUR 0.9EUR0.92015-04-21
2014202.76%EUR 0.88EUR0.882014-04-22
2013101.38%EUR 0.44EUR0.442013-04-12
2012213.51%EUR 0.927EUR0.34042012-08-28
EUR0.586252012-04-19
2011111.12%EUR 0.482EUR0.482242011-04-28
201087.15%EUR 0.378EUR0.378232010-04-22
200995.86%EUR 0.416EUR0.416052009-04-23
200865.36%EUR 0.284EUR0.283672008-04-30
2007111.12%EUR 0.482EUR0.482242007-04-03
2006108.94%EUR 0.473EUR0.472782006-03-28
2005102.40%EUR 0.444EUR0.444422005-04-04