
Unternehmen | ISIN-Code | Dividende (Währung) | Dividende (EUR) |
ACOMO NV | NL0000313286 | - | 0,45 EUR |
BANK OF MONTREAL | CA0636711016 | 1,63 CAD | 1,0252 EUR |
CONAGRA BRANDS INC | US2058871029 | 0,35 USD | 0,303 EUR |
CONSTELLATION BRANDS INC | US21036P1084 | 1,02 USD | 0,8832 EUR |
CONSTELLATION BRANDS INC CDR | CA21036D1050 | 0,0824 CAD | 0,0518 EUR |
DAIWA COMPUTER CO LTD | JP3501900009 | 19 JPY | 0,1107 EUR |
ENTEGRIS INC | US29362U1043 | 0,1 USD | 0,0865 EUR |
INDUSTRIAL & INFRASTRUCTURE FUND INVESTM ... | JP3046500009 | 3450 JPY | 20,1135 EUR |
JAPAN LOGISTICS FUND INC | JP3046230003 | 2150 JPY | 12,5345 EUR |
KT CORPORATION ADR | US48268K1016 | 0,2172 USD | 0,1881 EUR |
LENOVO GROUP LTD | HK0992009065 | 0,305 HKD | 0,0336 EUR |
MAPLETREE LOGISTICS TRUST | SG1S03926213 | 0,0181 SGD | 0,0121 EUR |
METROCITY BANKSHARES INC | US59165J1051 | 0,25 USD | 0,2164 EUR |
MITSUI FUDOSAN LOGISTICS PARK INC | JP3048300002 | 3629 JPY | 21,1571 EUR |
NIPPON PARKING DEVELOPMENT CO LTD | JP3728000005 | 8 JPY | 0,0466 EUR |
NORTHERN TECHNOLOGIES INTERNATIONAL CORP ... | US6658091094 | 0,01 USD | 0,0086 EUR |
NP3 FASTIGHETER AB | SE0006342333 | 1,3 SEK | 0,1166 EUR |
PETROL DD | SI0031102153 | - | 2,1 EUR |
RAKSUL INC | JP3967180005 | 3 JPY | 0,0174 EUR |
SAMCO INC | JP3322950001 | 60 JPY | 0,3498 EUR |
SATS LTD | SG1I52882764 | 0,035 SGD | 0,0235 EUR |
SEKISUI HOUSE LTD | JP3420600003 | 72 JPY | 0,4197 EUR |
SINGAPORE POST LIMITED | SG1N89910219 | 0,09 SGD | 0,0605 EUR |
TELIA COMPANY AB | SE0000667925 | 0,5 SEK | 0,0448 EUR |
TOHO CO LTD/KOBE | JP3553200001 | 75 JPY | 0,4372 EUR |
TOKAIDO REIT INC | JP3049110004 | 3299 JPY | 19,2332 EUR |
TR PROPERTY INVESTMENT TRUST PLC | GB0009064097 | 0,1025 GBP | EUR |
TRENCOR LIMITED | ZAE000007506 | 0,9 ZAR | 0,0435 EUR |
VOC ENERGY TRUST | US91829B1035 | 0,11 USD | 0,0952 EUR |
WEST PHARMACEUTICAL SERVICES INC | US9553061055 | 0,21 USD | 0,1818 EUR |
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