Okasan Securities Group Inc(OKN) EUR 3.12
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20232.48%EUR 0.077JPY102023-03-30
20223.71%EUR 0.116JPY152022-03-30
20213.71%EUR 0.116JPY152021-03-30
20202.48%EUR 0.077JPY102020-03-30
20193.71%EUR 0.116JPY152019-03-27
20186.19%EUR 0.193JPY252018-03-28
20176.19%EUR 0.193JPY252017-03-29
20166.19%EUR 0.193JPY252016-03-29
20156.19%EUR 0.193JPY252015-03-27
20146.19%EUR 0.193JPY252014-03-27
20133.71%EUR 0.116JPY152013-03-27
20121.24%EUR 0.039JPY52012-03-28
20111.24%EUR 0.039JPY52011-03-29