Kingspan Group(KRX) EUR 49.14
Dividend Yield(TTM) =1.05%
Year Yield Total Amount Ex Date
20221.05%EUR 0.516EUR0.2562022-09-08
EUR0.262022-03-24
20210.82%EUR 0.405EUR0.1992021-09-09
EUR0.2062021-03-25
20200.68%EUR 0.335EUR0.3352020-03-26
20190.88%EUR 0.43EUR0.132019-09-05
EUR0.32019-03-28
20180.77%EUR 0.38EUR0.122018-09-06
EUR0.262018-03-22
20170.70%EUR 0.345EUR0.112017-08-31
EUR0.2352017-03-30
20160.55%EUR 0.27EUR0.12016-09-01
EUR0.172016-04-21
20150.37%EUR 0.18EUR0.082015-09-03
EUR0.12015-04-23
20140.30%EUR 0.148EUR0.06252014-09-03
EUR0.0852014-04-23
20130.26%EUR 0.128EUR0.0552013-08-28
EUR0.07252013-04-24
20120.23%EUR 0.115EUR0.052012-08-29
EUR0.0652012-04-25
20110.21%EUR 0.105EUR0.0452011-08-31
EUR0.062011-03-16
20100.08%EUR 0.04EUR0.042010-09-01
20080.51%EUR 0.25EUR0.082008-09-10
EUR0.172008-03-12
20070.43%EUR 0.21EUR0.082007-09-12
EUR0.132007-03-21
20060.30%EUR 0.15EUR0.062006-09-13
EUR0.08952006-03-22
20050.22%EUR 0.107EUR0.04452005-09-14
EUR0.0622005-03-16
20040.16%EUR 0.08EUR0.0342004-09-15
EUR0.0462004-03-17
20030.13%EUR 0.064EUR0.0262003-09-17
EUR0.0382003-03-19
20020.10%EUR 0.051EUR0.0212002-09-18
EUR0.02952002-03-27
20010.08%EUR 0.04EUR0.01752001-09-12
EUR0.02272001-03-28
20000.03%EUR 0.014EUR0.01352000-09-18