NATWEST GR.PLC LS 10769(RYSD) EUR 3.096
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20233.23%EUR 0.1EUR0.12023-03-16
20229.25%EUR 0.286EUR0.1682022-08-30
EUR0.037692022-08-25
EUR0.080772022-03-17
20212.09%EUR 0.065EUR0.032312021-08-12
EUR0.032312021-03-25
20201.61%EUR 0.05EUR0.052020-03-26
20196.78%EUR 0.21EUR0.129232019-08-15
EUR0.080772019-03-21
20180.70%EUR 0.022EUR0.021542018-08-23
2008176.60%EUR 5.468EUR5.467672008-03-05
2007124.58%EUR 3.857EUR1.208552007-08-15
EUR2.648432007-03-07
200699.59%EUR 3.083EUR0.965242006-08-16
EUR2.117952006-03-13
200578.07%EUR 2.417EUR0.773792005-08-15
EUR1.643312005-03-08
200421.64%EUR 0.67EUR0.670092004-08-11