KASIKORNBANK NVDR (NVAR.SG)(NVAR) EUR 3.34
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202297.31%EUR 3.25EUR0.52022-09-07
EUR2.752022-04-19
202189.82%EUR 30.52021-09-08
2.52021-04-20
2020134.73%EUR 4.54.52020-04-09
2019119.76%EUR 40.52019-09-11
3.52019-04-11
2018119.76%EUR 40.52018-09-12
3.52018-04-11
2017119.76%EUR 40.52017-09-12
3.52017-04-07
2016119.76%EUR 40.52016-09-06
3.52016-04-05
2015119.76%EUR 40.52015-09-08
3.52015-04-09
201494.31%EUR 3.150.452014-09-09
2.72014-04-11