TAITRON COMPONENT-A(TAI) EUR 3.4375
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.22%EUR 0.145EUR0.12022-05-12
EUR0.0452022-02-10
20214.80%EUR 0.165EUR0.0452021-11-10
0.042021-08-12
0.042021-05-13
0.042021-02-11
20204.22%EUR 0.1450.042020-11-12
0.0352020-08-13
0.0352020-05-14
0.0352020-02-13
20193.64%EUR 0.1250.0352019-11-14
0.032019-08-14
0.032019-05-14
0.032019-02-12
20183.05%EUR 0.1050.032018-11-14
0.0252018-08-14
0.0252018-05-14
0.0252018-02-12
20172.91%EUR 0.10.0252017-11-14
0.0252017-08-11
0.0252017-05-11
0.0252017-02-09
20161.45%EUR 0.050.0252016-11-09
0.0252016-08-11