Ponsse Oyj(PNS) EUR 27.1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.21%EUR 0.6EUR0.62022-04-08
20212.21%EUR 0.6EUR0.62021-04-08
20204.24%EUR 1.15EUR0.32020-05-28
EUR0.852020-04-02
20192.95%EUR 0.8EUR0.82019-04-04
20182.77%EUR 0.75EUR0.752018-04-10
20172.21%EUR 0.6EUR0.62017-04-12
20162.03%EUR 0.55EUR0.552016-04-13
20151.66%EUR 0.45EUR0.452015-04-15
20141.11%EUR 0.3EUR0.32014-04-16
20130.92%EUR 0.25EUR0.252013-04-17
20121.29%EUR 0.35EUR0.352012-04-18
20111.29%EUR 0.35EUR0.352011-04-13