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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Oki Electric Ind. 2024-03-28 €0.18 €0.18 2.800%
Fujikura Ltd 2024-03-28 €0.16 €0.16 1.000%
Screen Holdings Corp. Ltd. 2024-03-28 €0.73 €0.73 0.720%
Konica Minolta Holdings Inc. 2024-03-28 €0.031 €0.031 0.970%
Sumco Corp. 2023-12-28 €0.064 €0.066 0.470%
Nippon Electric Glass Co Ltd 2023-12-28 €0.38 €0.77 3.420%
Screen Holdings Corp. Ltd. 2023-09-28 €0.89 €0.73 0.720%
Fujikura Ltd 2023-09-28 €0.14 €0.16 1.000%
Sumco Corp. 2023-06-29 €0.002 €0.066 0.470%
Nippon Electric Glass Co Ltd 2023-06-29 €0.38 €0.77 3.420%
Oki Electric Ind. 2023-03-30 €0.14 €0.18 2.800%
Screen Holdings Corp. Ltd. 2023-03-30 €2.23 €0.73 0.720%
Sumco Corp. 2022-12-29 €0.30 €0.066 0.470%
Sumco Corp. 2022-06-29 €0.002 €0.066 0.470%
Sumco Corp. 2021-12-30 €0.001 €0.066 0.470%
Sumco Corp. 2021-06-29 €0.12 €0.066 0.470%
Screen Holdings Corp. Ltd. 2021-03-30 €0.50 €0.73 0.720%
Sumco Corp. 2020-12-29 €0.70 €0.066 0.470%
Nippon Electric Glass Co Ltd 2020-12-29 €0.39 €0.77 3.420%
Nippon Electric Glass Co Ltd 2020-06-29 €0.42 €0.77 3.420%
Sumco Corp. 2020-06-29 €0.15 €0.066 0.470%
Screen Holdings Corp. Ltd. 2020-03-30 €0.38 €0.73 0.720%
Oki Electric Ind. 2020-03-30 €0.42 €0.18 2.800%
Fujikura Ltd 2020-03-30 €0.021 €0.16 1.000%
Casio Computer 2020-03-30 €0.19 €0.19 2.350%
Dena Co. Ltd. 2020-03-30 €0.17 €0.17 1.770%
Konica Minolta Holdings Inc. 2020-03-30 €0.13 €0.031 0.970%
Sumco Corp. 2019-12-27 €0.083 €0.066 0.470%
Nippon Electric Glass Co Ltd 2019-12-27 €0.50 €0.77 3.420%
Fujikura Ltd 2019-09-27 €0.043 €0.16 1.000%