SINGAPORE POST(SGR) EUR 0.344
Dividend Yield(TTM) =0.00%
Year |
Yield |
Total |
Amount |
Ex Date |
2022 | 4.30% | EUR 0.015 | EUR0.0018 | 2022-11-16 |
EUR0.013 | 2022-07-29 |
2021 | 3.20% | EUR 0.011 | EUR0.005 | 2021-11-16 |
0.006 | 2021-07-23 |
2020 | 6.40% | EUR 0.022 | 0.005 | 2020-11-18 |
0.012 | 2020-07-24 |
0.005 | 2020-02-18 |
2019 | 10.17% | EUR 0.035 | 0.005 | 2019-11-15 |
0.005 | 2019-08-16 |
0.02 | 2019-07-24 |
0.005 | 2019-02-13 |
2018 | 10.17% | EUR 0.035 | 0.005 | 2018-11-15 |
0.005 | 2018-08-15 |
0.02 | 2018-07-16 |
0.005 | 2018-02-09 |
2017 | 5.81% | EUR 0.02 | 0.005 | 2017-11-23 |
0.005 | 2017-08-16 |
0.005 | 2017-07-25 |
0.005 | 2017-02-22 |
2016 | 18.90% | EUR 0.065 | 0.01 | 2016-11-15 |
0.015 | 2016-08-16 |
0.025 | 2016-07-19 |
0.015 | 2016-02-18 |
2015 | 14.53% | EUR 0.05 | 0.015 | 2015-11-13 |
0.015 | 2015-08-11 |
0.0075 | 2015-07-13 |
0.0125 | 2015-02-13 |
2014 | 18.17% | EUR 0.063 | 0.0125 | 2014-11-18 |
0.0125 | 2014-08-18 |
0.025 | 2014-07-08 |
0.0125 | 2014-02-17 |
2013 | 18.17% | EUR 0.063 | 0.0125 | 2013-11-13 |
0.0125 | 2013-08-19 |
0.025 | 2013-07-02 |
0.0125 | 2013-02-07 |
2012 | 18.17% | EUR 0.063 | 0.0125 | 2012-11-12 |
0.0125 | 2012-08-14 |
0.025 | 2012-07-03 |
0.0125 | 2012-02-10 |
2011 | 18.17% | EUR 0.063 | 0.0125 | 2011-11-11 |
0.0125 | 2011-08-11 |
0.025 | 2011-07-04 |
0.0125 | 2011-02-14 |
2010 | 18.17% | EUR 0.063 | 0.0125 | 2010-11-12 |
0.0125 | 2010-08-13 |
0.025 | 2010-07-02 |
0.0125 | 2010-02-11 |
2009 | 14.53% | EUR 0.05 | 0.0125 | 2009-11-11 |
0.025 | 2009-07-02 |
0.0125 | 2009-02-13 |
2008 | 10.90% | EUR 0.038 | 0.025 | 2008-07-02 |
0.0125 | 2008-02-14 |
2007 | 14.53% | EUR 0.05 | 0.0125 | 2007-11-13 |
0.025 | 2007-07-03 |
0.0125 | 2007-02-12 |
2006 | 12.35% | EUR 0.043 | 0.0125 | 2006-11-14 |
0.0175 | 2006-07-04 |
0.0125 | 2006-02-14 |
2005 | 11.48% | EUR 0.04 | 0.0125 | 2005-11-18 |
0.027 | 2005-07-08 |
2004 | 20.64% | EUR 0.071 | 0.023 | 2004-11-17 |
0.021 | 2004-07-23 |
0.02699 | 2004-01-06 |