ASSURANT(ZAS) EUR 108
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20222.54%EUR 2.74EUR0.72022-11-25
EUR0.682022-08-26
EUR0.682022-05-27
EUR0.682022-02-25
20212.46%EUR 2.66EUR0.682021-11-26
0.662021-08-27
0.662021-05-28
0.662021-02-19
20202.36%EUR 2.550.662020-11-27
0.632020-08-28
0.632020-05-22
0.632020-02-21
20192.25%EUR 2.430.632019-11-22
0.62019-08-23
0.62019-05-24
0.62019-02-22
20182.11%EUR 2.280.62018-11-23
0.562018-08-24
0.562018-05-25
0.562018-02-23
20171.01%EUR 1.090.562017-11-24
0.532017-02-23
20160.95%EUR 1.030.532016-11-23
0.52016-08-25
20151.27%EUR 1.370.52015-11-25
0.32015-08-27
0.32015-05-21
0.272015-02-19
20140.98%EUR 1.060.272014-11-26
0.272014-08-21
0.272014-05-23
0.252014-02-20
20130.89%EUR 0.960.252013-11-27
0.252013-08-22
0.252013-05-23
0.212013-02-21
20120.75%EUR 0.810.212012-11-21
0.212012-08-23
0.212012-05-24
0.182012-02-23
20110.65%EUR 0.70.182011-11-23
0.182011-08-25
0.182011-05-19
0.162011-02-24
20100.44%EUR 0.480.162010-11-24
0.162010-08-26
0.162010-05-20