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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Nomura Holdings 2021-09-29 €0.066 €0.001 0.010%
Mizuho Financial Group Inc 2021-03-30 €0.29 €0.60 3.340%
Credit Saison Corp. Ltd 2021-03-30 €0.35 €0.12 0.700%
Dai-ichi Life Insurance Co Ltd 2021-03-30 €0.48 €0.53 2.510%
Resona Holdings Inc. 2021-03-30 €0.081 €0.067 1.090%
Sumitomo Mitsui Trust Hldgs 2021-03-30 €0.58 €0.70 3.620%
Sumitomo Realty & Development Co Ltd 2021-03-30 €0.15 €0.18 0.550%
Sompo Holdings Inc 2021-03-30 €0.69 €1.82 9.720%
Tokio Marine Holdings Inc 2021-03-30 €0.26 €0.39 1.370%
Sumitomo Mitsui Financial Group Inc 2021-03-30 €0.73 €1.62 3.090%
MS&AD Insurance Group Holdings Inc 2021-03-30 €0.58 €1.50 9.290%
Mitsubishi Estate Co Ltd 2021-03-30 €0.10 €0.13 0.750%
Japan Post Holdings Co Ltd 2021-03-30 €0.39 €0.15 1.780%
Matsui Securities Co Ltd 2021-03-30 €0.15 €0.12 2.550%
T&D Holdings Inc 2021-03-30 €0.17 €0.44 2.870%
Mitsubishi UFJ Financial Group Inc 2021-03-30 €0.096 €0.24 2.580%
Fukuoka Financial Group Inc. 2021-03-30 €0.33 €0.72 2.870%
Aozora Bank Ltd 2021-03-30 €0.25 €0.24 1.640%
Chiba Bank Ltd 2021-03-30 €0.069 €0.12 1.510%
Tokyu Fudosan Holdings 2021-03-30 €0.062 €0.086 1.230%
Shizuoka Bank Ltd 2021-03-30 €0.085 €0.17 2.820%
Mitsui Fudosan Co Ltd 2021-03-30 €0.17 €0.44 4.560%
Tokyo Tatemono 2020-12-29 €0.18 €0.47 2.980%
Chiba Bank Ltd 2020-09-29 €0.073 €0.12 1.510%
Matsui Securities Co Ltd 2020-09-29 €0.16 €0.12 2.550%
Mitsubishi UFJ Financial Group Inc 2020-09-29 €0.10 €0.24 2.580%
Mizuho Financial Group Inc 2020-09-29 €0.030 €0.60 3.340%
Tokio Marine Holdings Inc 2020-09-29 €0.27 €0.39 1.370%
Resona Holdings Inc. 2020-09-29 €0.085 €0.067 1.090%
T&D Holdings Inc 2020-09-29 €0.18 €0.44 2.870%