LINDSAY(LMF) EUR 116
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.16%EUR 1.34EUR0.342022-11-15
EUR0.342022-08-16
EUR0.332022-05-16
EUR0.332022-02-11
20211.13%EUR 1.31EUR0.332021-11-15
0.332021-08-16
0.332021-05-13
0.322021-02-11
20201.09%EUR 1.270.322020-11-13
0.322020-08-14
0.322020-05-14
0.312020-02-13
20191.07%EUR 1.240.312019-11-14
0.312019-08-15
0.312019-05-16
0.312019-02-13
20181.05%EUR 1.220.312018-11-15
0.312018-08-16
0.32018-05-16
0.32018-02-13
20170.77%EUR 0.890.32017-11-15
0.32017-08-15
0.292017-02-10
20160.25%EUR 0.290.292016-11-14
20150.71%EUR 0.820.282015-11-12
0.272015-05-13
0.272015-02-11
20140.91%EUR 1.060.272014-11-12
0.272014-08-13
0.262014-05-14
0.262014-02-12
20130.42%EUR 0.490.132013-11-13
0.132013-08-14
0.1152013-05-15
0.1152013-02-12
20120.35%EUR 0.410.1152012-11-14
0.1152012-08-15
0.092012-05-15
0.092012-02-13
20110.30%EUR 0.350.092011-11-14
0.092011-08-15
0.0852011-05-13
0.0852011-02-10
20100.22%EUR 0.250.0852010-11-12
0.0852010-08-13
0.082010-05-12