PSI F.PR.U.SYS N(PSAN) EUR 27.15
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.47%EUR 0.4EUR0.42022-05-20
20211.10%EUR 0.30.32021-05-20
20200.18%EUR 0.050.052020-06-10
20190.92%EUR 0.250.252019-05-17
20180.85%EUR 0.230.232018-05-17
20170.81%EUR 0.220.222017-05-17
20160.77%EUR 0.210.212016-05-13
20131.10%EUR 0.30.32013-05-08
20120.92%EUR 0.250.252012-05-04