FOUR SEAS(FS7) EUR 0.2722
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202234.90%EUR 0.095EUR0.032022-12-13
EUR0.0652022-08-31
202134.90%EUR 0.095EUR0.032021-12-13
0.0652021-09-02
202034.90%EUR 0.0950.032020-12-14
0.0652020-09-03
201934.90%EUR 0.0950.032019-12-12
0.0652019-09-02
2018102.87%EUR 0.280.032018-12-13
0.252018-08-31
201734.90%EUR 0.0950.032017-12-13
0.0652017-09-04
201634.90%EUR 0.0950.032016-12-14
0.0652016-09-02
201534.90%EUR 0.0950.032015-12-14
0.0652015-09-04
201433.06%EUR 0.090.032014-12-15
0.062014-09-02
201325.72%EUR 0.070.022013-12-16
0.052013-08-28
201225.72%EUR 0.070.022012-12-17
0.052012-08-31
201125.72%EUR 0.070.022011-12-15
0.052011-08-23
20107.35%EUR 0.020.022010-12-10