PP LONDON SUMATRA (PS9A.SG)(PS9A) EUR 0.041
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
2022124,390.24%EUR 51EUR512022-08-01
202148,780.49%EUR 20202021-09-06
202036,585.37%EUR 15152020-07-27
201946,341.46%EUR 19192019-06-14
2018109,756.10%EUR 45452018-06-08
201785,365.85%EUR 35352017-06-09
201690,243.90%EUR 37372016-06-10
2015129,268.29%EUR 53532015-05-13
2014112,195.12%EUR 46462014-06-17
2013160,975.61%EUR 66662013-06-17
2012243,902.44%EUR 1001002012-06-06
2011148,780.49%EUR 61612011-06-17
2010101,951.22%EUR 41.841.82010-06-18
2009101,463.41%EUR 41.641.62009-05-27