AllianzGI Equity & Convertible Income Fund NIE
€ 21.24
0.57%
AllianzGI Equity & Convertible Income Fund Dividende 2011-2024 | NIE
Zahlungsdatum | Dividende je Aktie |
---|---|
2022-06-10 | $ 0.5 |
2022-03-11 | $ 0.5 |
2021-12-23 | $ 1.75 |
2021-12-17 | $ 0.38 |
2021-09-10 | $ 0.38 |
2021-06-11 | $ 0.38 |
2021-03-12 | $ 0.38 |
2020-12-18 | $ 0.38 |
2020-09-11 | $ 0.38 |
2020-06-12 | $ 0.38 |
2020-03-13 | $ 0.38 |
2019-12-20 | $ 0.38 |
2019-09-13 | $ 0.38 |
2019-06-14 | $ 0.38 |
2019-03-08 | $ 0.38 |
2018-12-21 | $ 0.38 |
2018-09-14 | $ 0.38 |
2018-06-08 | $ 0.38 |
2018-03-09 | $ 0.38 |
2017-12-22 | $ 0.38 |
2017-09-08 | $ 0.38 |
2017-06-08 | $ 0.38 |
2017-03-09 | $ 0.38 |
2016-12-22 | $ 0.38 |
2016-09-08 | $ 0.38 |
2016-06-09 | $ 0.38 |
2016-03-10 | $ 0.38 |
2015-12-23 | $ 0.38 |
2015-09-10 | $ 0.38 |
2015-06-11 | $ 0.38 |
2015-03-12 | $ 0.38 |
2014-12-29 | $ 0.38 |
2014-12-24 | $ 0.38 |
2014-09-11 | $ 0.38 |
2014-06-12 | $ 0.28 |
2014-03-13 | $ 0.28 |
2013-12-24 | $ 0.52 |
2013-09-12 | $ 0.28 |
2013-06-13 | $ 0.28 |
2013-03-14 | $ 0.28 |
2012-12-26 | $ 0.28 |
2012-09-13 | $ 0.28 |
2012-06-14 | $ 0.28 |
2012-03-15 | $ 0.28 |
2011-12-28 | $ 0.28 |
2011-09-15 | $ 0.28 |
2011-06-16 | $ 0.28 |
2011-03-17 | $ 0.28 |
2010-12-29 | $ 0.28 |
2010-09-16 | $ 0.28 |
2010-06-17 | $ 0.28 |
2010-03-18 | $ 0.28 |
Dividendenzahlung Chart