Philippos Nakas S.A(NAKAS) EUR 2.32
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20233.45%EUR 0.08EUR0.082023-01-12
20227.33%EUR 0.17EUR0.12022-12-09
EUR0.072022-01-05
20217.33%EUR 0.17EUR0.172021-12-10
202011.38%EUR 0.264EUR0.072020-12-14
EUR0.1342020-12-03
0.062020-02-14
20193.88%EUR 0.090.092019-12-02
20185.82%EUR 0.1350.0852018-11-30
0.052018-10-31
20174.31%EUR 0.10.12017-11-06
20164.31%EUR 0.10.12016-11-09
20153.02%EUR 0.070.072015-12-04
20090.86%EUR 0.020.022009-11-30
20087.76%EUR 0.180.182008-12-15
20073.45%EUR 0.080.082007-11-12
200614.22%EUR 0.330.142006-11-13
0.192006-02-13
200512.50%EUR 0.290.292005-01-10
20047.33%EUR 0.170.172004-01-02
20036.03%EUR 0.140.142003-01-02
20022.28%EUR 0.0530.052822002-01-07
20006.58%EUR 0.1530.152612000-12-29