Verbund AG(0NR1) EUR 78.75
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.33%EUR 1.05EUR1.052022-05-03
20210.95%EUR 0.75EUR0.752021-04-27
20200.88%EUR 0.69EUR0.692020-06-23
20190.53%EUR 0.42EUR0.422019-05-07
20180.53%EUR 0.42EUR0.422018-04-30
20170.37%EUR 0.29EUR0.292017-04-12
20160.44%EUR 0.35EUR0.352016-04-20
20150.37%EUR 0.29EUR0.292015-04-29
20140.57%EUR 0.45EUR0.452014-04-16
20130.76%EUR 0.6EUR0.62013-04-24
20120.70%EUR 0.55EUR0.552012-04-19
20110.70%EUR 0.55EUR0.552011-04-20
20101.26%EUR 0.993EUR0.992632010-04-14
20091.32%EUR 1.042EUR1.042262009-04-01
20081.13%EUR 0.893EUR0.893372008-04-02