RENASANT(RN6) EUR 25.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.41%EUR 0.88EUR0.222022-12-15
EUR0.222022-09-15
EUR0.222022-06-15
EUR0.222022-03-16
20213.41%EUR 0.88EUR0.222021-12-16
0.222021-09-15
0.222021-06-15
0.222021-03-16
20203.41%EUR 0.880.222020-12-17
0.222020-09-15
0.222020-06-15
0.222020-03-16
20193.37%EUR 0.870.222019-12-17
0.222019-09-13
0.222019-06-13
0.212019-03-20
20183.10%EUR 0.80.212018-12-17
0.22018-09-13
0.22018-06-14
0.192018-03-15
20172.13%EUR 0.550.192017-12-14
0.182017-09-14
0.182017-03-15
20161.40%EUR 0.360.182016-12-12
0.182016-09-12
20151.32%EUR 0.340.172015-12-15
0.172015-06-15
20142.64%EUR 0.680.172014-12-15
0.172014-09-15
0.172014-06-13
0.172014-03-14
20132.64%EUR 0.680.172013-12-13
0.172013-09-13
0.172013-06-12
0.172013-03-14
20120.66%EUR 0.170.172012-12-12