
| Unternehmen | ISIN-Code | Dividende (Währung) | Dividende (EUR) | 
| ABG SUNDAL COLLIER HOLDING ASA | NO0003021909 | 0,5 NOK | 0,0422 EUR | 
| ABN AMRO BANK NV | NL0011540547 | - | 0,75 EUR | 
| ABSA GROUP LIMITED ADR | US00400T1025 | 0,7884 USD | 0,6923 EUR | 
| ADVENICA AB | SE0006219473 | 0,09 SEK | 0,0082 EUR | 
| ADVENICA AB | SE0006219473 | 0,09 SEK | 0,0082 EUR | 
| AFRY AB | SE0005999836 | 6 SEK | 0,5487 EUR | 
| ALBERTSONS COMPANIES INC | US0130911037 | 0,15 USD | 0,1317 EUR | 
| ANGLO AMERICAN PLATINUM LIMITED ADR | US03486T2024 | 0,0253 USD | 0,0222 EUR | 
| ASML HOLDING NV | NL0010273215 | - | 1,84 EUR | 
| ASSA ABLOY AB ADR | US0453871073 | 0,1387 USD | 0,1217 EUR | 
| ATRIA OYJ | FI0009006548 | - | 0,69 EUR | 
| AVANZA BANK HOLDING AB | SE0012454072 | 11,75 SEK | 1,0745 EUR | 
| BE SEMICONDUCTOR INDUSTRIES NV | NL0012866412 | - | 2,18 EUR | 
| BEIJER REF AB | SE0015949748 | 0,7 SEK | 0,064 EUR | 
| BIOTAGE AB | SE0000454746 | 1,65 SEK | 0,1508 EUR | 
| BIOVENTIX PLC | GB00B4QVDF07 | 0,7 GBP | EUR | 
| BUFAB AB | SE0005677135 | 5,25 SEK | 0,4801 EUR | 
| COCA-COLA CONSOLIDATED INC | US1910981026 | 2,5 USD | 2,1953 EUR | 
| COMPANHIA PARANAENSE DE ENERGIA COPEL SA | BRCPLEACNPB9 | 0,2351 BRL | 0,0363 EUR | 
| CONCENTRIX CORPORATION | US20602D1019 | 0,3327 USD | 0,2921 EUR | 
| CREST NICHOLSON HOLDINGS PLC | GB00B8VZXT93 | 0,012 GBP | EUR | 
| CSE GLOBAL LIMITED | SG1G47869290 | 0,0115 SGD | 0,0077 EUR | 
| CSW INDUSTRIALS INC | US1264021064 | 0,27 USD | 0,237 EUR | 
| CSW INDUSTRIALS INC | US1264021064 | 0,27 USD | 0,237 EUR | 
| ENGIE SA | FR0010208488 | - | 1,48 EUR | 
| EUROPRIS ASA | NO0010735343 | 3,5 NOK | 0,2956 EUR | 
| FASTENAL COMPANY | US3119001044 | 0,44 USD | 0,3863 EUR | 
| FIRST SENSOR AG | DE0007201907 | - | 0,47 EUR | 
| FRIEDMAN INDUSTRIES INC | US3584351056 | 0,04 USD | 0,0351 EUR | 
| FRIEDMAN INDUSTRIES INC | US3584351056 | 0,04 USD | 0,0351 EUR | 
| FROSTA AG | DE0006069008 | - | 2,4 EUR | 
| GALDERMA GROUP AG | CH1335392721 | 0,15 CHF | 0,1593 EUR | 
| GE HEALTHCARE TECHNOLOGIES INC | US36266G1076 | 0,035 USD | 0,0307 EUR | 
| HEBA FASTIGHETS AB | SE0017911480 | 0,52 SEK | 0,0475 EUR | 
| HENDERSON HIGH INCOME TRUST PLC | GB0009580571 | 0,0267 GBP | EUR | 
| HOVE A/S | DK0061675279 | 0,14 DKK | 0,0187 EUR | 
| HUHTAMAKI OYJ | FI0009000459 | - | 0,55 EUR | 
| ILKKA OYJ | FI0009800205 | - | 0,22 EUR | 
| ILKKA OYJ | FI0009800205 | - | 0,22 EUR | 
| ING GROEP NV ADR | US4568371037 | 0,7677 USD | 0,6742 EUR | 
| INVESCO ASIA DRAGON TRUST PLC | GB0004535307 | 0,039 GBP | EUR | 
| INVESTCORP CREDIT MANAGEMENT BDC INC | US46090R1041 | 0,12 USD | 0,1053 EUR | 
| ITHACA ENERGY PLC | GB00BPJHV584 | 0,0942 USD | EUR | 
| JPMORGAN EMERGING MARKETS INVESTMENT TRU ... | GB00BMXWN182 | 0,0065 GBP | EUR | 
| KAISER ALUMINUM CORPORATION | US4830077040 | 0,77 USD | 0,6761 EUR | 
| KINETIK HOLDINGS INC | US02215L2097 | 0,78 USD | 0,6849 EUR | 
| KITRON ASA | NO0003079709 | 0,35 NOK | 0,0295 EUR | 
| KITWAVE GROUP PLC | GB00BNYKB709 | 0,0745 GBP | EUR | 
| KONINKLIJKE VOPAK NV | NL0009432491 | - | 1,6 EUR | 
| LAKELAND FINANCIAL CORPORATION | US5116561003 | 0,5 USD | 0,439 EUR | 
| LOGISTRI FASTIGHETS AB | SE0010414615 | 1,3 SEK | 0,1188 EUR | 
| LOGISTRI FASTIGHETS AB | SE0010414615 | 1,3 SEK | 0,1188 EUR | 
| METSO OYJ | FI0009014575 | - | 0,19 EUR | 
| METSO OYJ | FI0009014575 | - | 0,19 EUR | 
| NOTE AB | SE0001161654 | 7 SEK | 0,6401 EUR | 
| NVENT ELECTRIC PLC | IE00BDVJJQ56 | 0,2 USD | 0,1756 EUR | 
| OEM INTERNATIONAL AB | SE0017766843 | 1,75 SEK | 0,16 EUR | 
| OHIO VALLEY BANC CORP | US6777191064 | 0,23 USD | 0,2019 EUR | 
| OLD SECOND BANCORP INC | US6802771005 | 0,06 USD | 0,0526 EUR | 
| ORKLA ASA | NO0003733800 | 10 NOK | 0,8447 EUR | 
| ORKLA ASA | NO0003733800 | 10 NOK | 0,8447 EUR | 
| OVERSEA-CHINESE BANKING CORPORATION LIMI ... | SG1S04926220 | 0,16 SGD | 0,1071 EUR | 
| PIHLAJALINNA OYJ | FI4000092556 | - | 0,38 EUR | 
| REJLERS AB | SE0000123671 | 5 SEK | 0,4572 EUR | 
| REKA INDUSTRIAL OYJ | FI0009800296 | - | 0,07 EUR | 
| RIGHTMOVE PLC ADR | US76657Y1010 | 0,1581 USD | 0,1388 EUR | 
| RIGHTMOVE PLC ADR | US76657Y1010 | 0,1581 USD | 0,1388 EUR | 
| SALUS DD | SI0031110453 | - | 40 EUR | 
| SAN MIGUEL BREWERY HONG KONG LTD | HK0236001209 | 0,05 HKD | 0,0056 EUR | 
| SCHAEFFLER AG | DE000SHA0019 | - | 0,25 EUR | 
| SELVAAG BOLIG ASA | NO0010612450 | 1,25 NOK | 0,1055 EUR | 
| SEMPERIT AG HOLDING | AT0000785555 | - | 0,5 EUR | 
| SIGNET JEWELERS LTD | BMG812761002 | 0,32 USD | 0,2809 EUR | 
| SOLID FORSAKRINGSAKTIEBOLAG | SE0017082548 | 5 SEK | 0,4572 EUR | 
| SP GROUP A/S | DK0061027356 | 4 DKK | 0,5357 EUR | 
| SPAREBANK 1 SOR-NORGE ASA | NO0010631567 | 8,5 NOK | 0,7179 EUR | 
| STUDSVIK AB | SE0000653230 | 2 SEK | 0,1829 EUR | 
| SULZER AG | CH0038388911 | 4,25 CHF | 4,5143 EUR | 
| SWEDENCARE AB | SE0015988167 | 0,25 SEK | 0,0228 EUR | 
| TISCO FINANCIAL GROUP PCL | TH0999010Z11 | 5,75 THB | 0,1511 EUR | 
| TISCO FINANCIAL GROUP PCL NVDR | TH0999010R11 | 5,75 THB | 0,1511 EUR | 
| TIVOLI A/S | DK0060726743 | 5,4 DKK | 0,7232 EUR | 
| TMBTHANACHART BANK PCL | TH0068010Z15 | 0,067 THB | 0,0017 EUR | 
| TMBTHANACHART BANK PCL NVDR | TH0068010R15 | 0,067 THB | 0,0017 EUR | 
| TRELLEBORG AB | SE0000114837 | 7,5 SEK | 0,6858 EUR | 
| TXNM ENERGY INC | US69349H1077 | 0,4075 USD | 0,3578 EUR | 
| UCB SA | BE0003739530 | - | 1,39 EUR | 
| UNION BANKSHARES INC | US9054001071 | 0,36 USD | 0,3161 EUR | 
| UNUM GROUP | US91529Y1064 | 0,42 USD | 0,3688 EUR | 
| VETROPACK HOLDING AG | CH0530235594 | 1 CHF | 1,0622 EUR | 
| VIKING LINE ABP | FI0009005250 | - | 0,5 EUR | 
| VIKING LINE ABP | FI0009005250 | - | 0,5 EUR | 
| mehr Dividenden im wallstreetOnline Dividendenkalender | 
© 2025 wallstreetONLINE (Dividenden)



