Prosegur(0Q8P) EUR 1.872
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20228.20%EUR 0.154EUR0.053142022-12-23
EUR0.025112022-10-25
EUR0.025112022-07-19
EUR0.025112022-04-26
EUR0.025112022-01-21
20215.37%EUR 0.1EUR0.025112021-10-18
EUR0.025112021-07-16
EUR0.025112021-04-16
EUR0.025112021-01-26
20205.71%EUR 0.107EUR0.026732020-10-23
EUR0.026732020-07-20
EUR0.026732020-04-28
EUR0.026732020-01-13
20195.54%EUR 0.104EUR0.025942019-10-10
EUR0.025942019-07-05
EUR0.025942019-04-04
EUR0.025942019-01-14
20185.04%EUR 0.094EUR0.023592018-10-09
EUR0.023592018-07-10
EUR0.023592018-04-09
EUR0.023592018-01-16
201724.41%EUR 0.457EUR0.367512017-12-22
EUR0.022362017-10-12
EUR0.022362017-07-11
EUR0.022382017-04-10
EUR0.022382017-01-13
20169.04%EUR 0.169EUR0.081212016-12-08
EUR0.022382016-10-12
EUR0.022382016-07-12
EUR0.021632016-04-15
EUR0.021632016-01-15
20154.58%EUR 0.086EUR0.021492015-10-16
EUR0.021492015-07-17
EUR0.021362015-04-17
EUR0.021362015-01-19
20144.51%EUR 0.084EUR0.021092014-10-16
EUR0.021092014-07-17
EUR0.021092014-04-22
EUR0.021092014-01-20
20132.27%EUR 0.042EUR0.021092013-10-18
EUR0.021092013-07-19
GBP0.00022013-04-18
20120.03%EUR 0GBP0.000212012-04-17
GBP0.000212012-01-19
20110.05%EUR 0.001GBP0.000212011-10-17
GBP0.000212011-07-14
GBP0.000192011-04-15
GBP0.000192011-01-18
20100.04%EUR 0.001GBP0.000192010-10-15
GBP0.000192010-07-16
GBP0.000172010-04-19
GBP0.000172010-01-18
20090.04%EUR 0.001GBP0.000172009-10-16
GBP0.000172009-07-14
GBP0.000152009-04-20
GBP0.000152009-01-15
20080.03%EUR 0.001GBP0.000152008-10-14
GBP0.000152008-07-14
GBP0.000132008-04-14
GBP0.000132008-01-15