
Unternehmen | ISIN-Code | Dividende (Währung) | Dividende (EUR) |
ADF GROUP INC | CA00089N1033 | 0,02 CAD | 0,0127 EUR |
ALPHA GROUP INTERNATIONAL PLC | GB00BF1TM596 | 0,14 GBP | 0,1638 EUR |
AQ GROUP AB | SE0022062196 | 1,6 SEK | 0,1457 EUR |
ASML HOLDING NV CDR | CA0449281090 | 0,0506 USD | 0,0447 EUR |
ASSA ABLOY AB | SE0007100581 | 2,95 SEK | 0,2688 EUR |
AZZ INC | US0024741045 | 0,17 USD | 0,1501 EUR |
BAKKAVOR GROUP PLC | GB00BF8J3Z99 | 0,048 GBP | 0,0561 EUR |
BANK CIMB NIAGA TBK | ID1000098007 | 155,73 IDR | 0,008 EUR |
BANK OF CHONGQING CO LTD | CNE100001QN2 | 0,248 CNY | 0,0298 EUR |
BODYCOTE PLC | GB00B3FLWH99 | 0,161 GBP | 0,1884 EUR |
BRIDGEPOINT GROUP PLC | GB00BND88V85 | 0,046 GBP | 0,0538 EUR |
BYSTRONIC AG | CH0244017502 | 4 CHF | 4,2568 EUR |
CAIRN HOMES PLC | IE00BWY4ZF18 | - | 0,044 EUR |
CENTRAL ASIA METALS PLC | GB00B67KBV28 | 0,09 GBP | 0,1053 EUR |
CHRISTIAN DIOR SE | FR0000130403 | - | 7,5 EUR |
CITY OF LONDON INVESTMENT TRUST PLC | GB0001990497 | 0,054 GBP | 0,0632 EUR |
COMPANIA CERVECERIAS UNIDAS SA ADR | US2044291043 | 0,2158 USD | 0,1906 EUR |
CTP NV | NL00150006R6 | - | 0,3 EUR |
CUSTODIAN PROPERTY INCOME REIT PLC | GB00BJFLFT45 | 0,015 GBP | 0,0175 EUR |
DERWENT LONDON PLC | GB0002652740 | 0,455 GBP | 0,5326 EUR |
DRAX GROUP PLC | GB00B1VNSX38 | 0,156 GBP | 0,1826 EUR |
ELANDERS AB | SE0000119299 | 4,15 SEK | 0,3781 EUR |
ELANDERS AB | SE0000119299 | 4,15 SEK | 0,3781 EUR |
EUROCELL PLC | GB00BVV2KN49 | 0,039 GBP | 0,0456 EUR |
FABEGE AB | SE0011166974 | 0,5 SEK | 0,0455 EUR |
FERRARI NV | NL0011585146 | - | EUR |
FOMENTO ECONOMICO MEXICANO SAB DE CV ADR | US3444191064 | 0,5694 USD | 0,5029 EUR |
FORESIGHT SOLAR FUND LIMITED | JE00BD3QJR55 | 0,02 GBP | 0,0234 EUR |
GETINGE AB ADR | US37427X1046 | 0,4325 USD | 0,382 EUR |
GETINGE AB ADR | US37427X1046 | 0,4325 USD | 0,382 EUR |
HALEON PLC | GB00BMX86B70 | 0,046 GBP | 0,0538 EUR |
HAMMERSON PLC | GB00BRJQ8J25 | 0,0807 GBP | 0,0944 EUR |
HARWORTH GROUP PLC | GB00BYZJ7G42 | 0,0112 GBP | 0,0131 EUR |
HEINEKEN HOLDING NV ADR | US4230081014 | 0,6135 USD | 0,5419 EUR |
HEINEKEN NV ADR | US4230123014 | 0,6135 USD | 0,5419 EUR |
HISCOX LTD | BMG4593F1389 | 0,299 USD | 0,264 EUR |
ING GROEP NV | NL0011821202 | - | 0,71 EUR |
ING GROEP NV CDR | CA4569421015 | 0,8441 USD | 0,7456 EUR |
INTERCORP FINANCIAL SERVICES INC | PAL2400671A3 | 1 USD | 0,8832 EUR |
INTERNATIONAL PUBLIC PARTNERSHIPS LIMITE ... | GB00B188SR50 | 0,0419 GBP | 0,049 EUR |
KIER GROUP PLC | GB0004915632 | 0,02 GBP | 0,0234 EUR |
LEGAL & GENERAL GROUP PLC | GB0005603997 | 0,1536 GBP | 0,1798 EUR |
LEVI STRAUSS & CO | US52736R1023 | 0,13 USD | 0,1148 EUR |
LEVI STRAUSS & CO | US52736R1023 | 0,13 USD | 0,1148 EUR |
LOGWIN AG | LU1618151879 | - | 12,8 EUR |
LVMH MOET HENNESSY LOUIS VUITTON SE | FR0000121014 | - | 7,5 EUR |
ME GROUP INTERNATIONAL PLC | GB0008481250 | 0,0445 GBP | 0,052 EUR |
MORGAN SINDALL GROUP PLC | GB0008085614 | 0,9 GBP | 1,0536 EUR |
MP EVANS GROUP PLC | GB0007538100 | 0,375 GBP | 0,439 EUR |
OCTOPUS TITAN VCT PLC | GB00B28V9347 | 0,005 GBP | 0,0058 EUR |
PARKEN SPORT & ENTERTAINMENT A/S | DK0010237643 | 10 DKK | 1,3396 EUR |
PLAYMATES TOYS GROUP LTD | BMG7147S1008 | 0,06 HKD | EUR |
PPHE HOTEL GROUP LTD | GG00B1Z5FH87 | 0,21 GBP | 0,2458 EUR |
PUBLIC POLICY HOLDING COMPANY INC | US7444301094 | 0,047 USD | 0,0415 EUR |
PUBLIC POLICY HOLDING COMPANY INC | US7444301094 | 0,047 USD | 0,0415 EUR |
RICHELIEU HARDWARE LTD | CA76329W1032 | 0,1533 CAD | 0,0975 EUR |
RICHELIEU HARDWARE LTD | CA76329W1032 | 0,1533 CAD | 0,0975 EUR |
RIGHTMOVE PLC | GB00BGDT3G23 | 0,061 GBP | 0,0714 EUR |
RILEY EXPLORATION PERMIAN INC | US76665T1025 | 0,38 USD | 0,3356 EUR |
RILEY EXPLORATION PERMIAN INC | US76665T1025 | 0,38 USD | 0,3356 EUR |
ROBERT WALTERS PLC | GB0008475088 | 0,17 GBP | 0,199 EUR |
ROBERT WALTERS PLC | GB0008475088 | 0,17 GBP | 0,199 EUR |
ROTORK PLC | GB00BVFNZH21 | 0,05 GBP | 0,0585 EUR |
ROYAL BANK OF CANADA | CA7800871021 | 1,48 CAD | 0,9416 EUR |
SAMPO OYJ | FI4000552500 | - | 0,34 EUR |
SHAFTESBURY CAPITAL PLC | GB00B62G9D36 | 0,018 GBP | 0,021 EUR |
SPIRAX GROUP PLC | GB00BWFGQN14 | 1,175 GBP | 1,3755 EUR |
STELRAD GROUP PLC | GB00BMHRMV23 | 0,0481 GBP | 0,0563 EUR |
STELRAD GROUP PLC | GB00BMHRMV23 | 0,0481 GBP | 0,0563 EUR |
SUPERMARKET INCOME REIT PLC | GB00BF345X11 | 0,0153 GBP | 0,0179 EUR |
SUPERMARKET INCOME REIT PLC | GB00BF345X11 | 0,0153 GBP | 0,0179 EUR |
SYNECTICS PLC | GB0007156838 | 0,025 GBP | 0,0292 EUR |
SYNECTICS PLC | GB0007156838 | 0,025 GBP | 0,0292 EUR |
SYNSAM AB | SE0016829709 | 1,8 SEK | 0,164 EUR |
TELESTE OYJ | FI0009007728 | - | 0,03 EUR |
TF1 SA | FR0000054900 | - | 0,6 EUR |
UNICREDIT SPA | IT0005239360 | - | EUR |
UNIPHAR PLC | IE00BJ5FQX74 | - | 0,0125 EUR |
VESUVIUS PLC | GB00B82YXW83 | 0,164 GBP | 0,1919 EUR |
WICKES GROUP PLC | GB00BL6C2002 | 0,073 GBP | 0,0854 EUR |
WICKES GROUP PLC | GB00BL6C2002 | 0,073 GBP | 0,0854 EUR |
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