True Corporation Public Company Limited(NVAN) EUR 0.125
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.48%EUR 0.002THB0.072022-03-11
20211.48%EUR 0.002THB0.072021-03-12
20201.90%EUR 0.002THB0.092020-03-13
20191.90%EUR 0.002THB0.092019-03-14
20180.66%EUR 0.001THB0.0312018-03-14
20160.14%EUR 0THB0.006572016-04-19