VERBUND AG(OEWA) EUR 78.45
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.34%EUR 1.05EUR1.052022-05-02
20210.96%EUR 0.750.752021-04-27
20200.88%EUR 0.690.692020-06-23
20190.54%EUR 0.420.422019-05-07
20180.54%EUR 0.420.422018-04-30
20170.37%EUR 0.290.292017-04-12
20160.45%EUR 0.350.352016-04-20
20150.37%EUR 0.290.292015-04-29
20140.57%EUR 0.450.452014-04-16
20130.76%EUR 0.60.62013-04-24
20120.70%EUR 0.550.552012-04-19
20110.70%EUR 0.550.552011-04-20
20091.33%EUR 1.0411.041422009-04-01
20081.14%EUR 0.8930.892652008-04-02
20070.95%EUR 0.7440.743872007-03-21
20060.63%EUR 0.4960.495912006-03-27
20050.38%EUR 0.2980.297552005-03-17