Life Storage Inc(SOV) EUR 125
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.63%EUR 2.034USD1.22023-04-13
USD1.22023-01-12
20222.82%EUR 3.526USD1.082022-10-13
USD1.082022-07-14
USD12022-04-13
USD12022-01-13
20212.09%EUR 2.611USD0.862021-10-12
USD0.742021-07-13
USD0.742021-04-13
USD0.742021-01-14
20201.93%EUR 2.418USD0.713332020-10-09
USD0.713332020-07-13
USD0.713332020-04-09
USD0.713332020-01-13
20191.81%EUR 2.26USD0.666672019-10-11
USD0.666672019-07-15
USD0.666672019-04-15
USD0.666672019-01-14
20181.81%EUR 2.26USD0.666672018-10-15
USD0.666672018-07-13
USD0.666672018-04-12
USD0.666672018-01-12
20170.88%EUR 1.102USD0.666672017-10-12
USD0.633332017-01-12
20161.24%EUR 1.554USD0.633332016-10-12
USD0.633332016-07-13
USD0.566672016-01-15
20151.06%EUR 1.328USD0.566672015-10-14
USD0.52015-04-15
USD0.52015-01-14
20141.23%EUR 1.537USD0.453332014-10-09
USD0.453332014-07-10
USD0.453332014-04-15
USD0.453332014-01-14
20130.91%EUR 1.141USD0.353332013-10-09
USD0.353332013-07-10
USD0.322013-04-10
USD0.322013-01-10
20120.81%EUR 1.017USD0.32012-10-09
USD0.32012-07-10
USD0.32012-04-10
USD0.32012-01-11
20110.81%EUR 1.017USD0.32011-10-11
USD0.32011-07-07
USD0.32011-04-07
USD0.32011-01-11
20100.20%EUR 0.254USD0.32010-10-06