UNITE GROUP(U1B) EUR 10.6
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.51%EUR 0.266EUR0.112022-09-15
EUR0.1562022-04-14
20211.82%EUR 0.1930.0652021-09-16
0.12752021-04-15
20202.17%EUR 0.230.22952020-04-09
20192.81%EUR 0.2980.10252019-09-19
0.1952019-04-11
20182.35%EUR 0.2490.0952018-09-20
0.1542018-04-12
20171.82%EUR 0.1930.0732017-10-05
0.122017-04-20
20161.46%EUR 0.1550.062016-10-06
0.0952016-04-21
20151.37%EUR 0.1450.0552015-10-08
0.092015-04-23
20140.51%EUR 0.0540.0222014-10-09
0.0322014-04-16
20130.48%EUR 0.0510.017622013-10-09
0.033042013-04-17
20120.23%EUR 0.0250.011012012-10-10
0.013772012-04-18
20110.05%EUR 0.0060.005512011-10-12
20080.26%EUR 0.0280.009142008-10-15
0.018392008-04-16
20070.26%EUR 0.0280.009142007-10-10
0.018392007-03-14
20060.26%EUR 0.0280.009142006-10-11
0.018392006-04-12