TASSAL GROUP(T1G) EUR 3.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.47%EUR 0.08EUR0.082022-03-14
20214.32%EUR 0.140.072021-09-14
0.072021-03-12
20205.56%EUR 0.180.092020-09-14
0.092020-03-13
20195.56%EUR 0.180.092019-09-10
0.092019-03-14
20185.25%EUR 0.170.082018-09-10
0.092018-03-14
20175.62%EUR 0.1820.0752017-09-08
0.107142017-03-14
20166.36%EUR 0.2060.10712016-09-08
0.09912016-03-15
20155.25%EUR 0.170.0852015-09-09
0.0852015-03-13
20143.95%EUR 0.1280.07292014-09-10
0.0552014-03-07
20132.93%EUR 0.0950.052013-09-09
0.0452013-03-04
20122.47%EUR 0.080.042012-09-14
0.042012-03-05
20110.62%EUR 0.020.022011-09-09
20100.43%EUR 0.0140.0142010-09-14