Frequency - Semiannual

Dividend Date Revenew Currency Payment Date
24/02/01 1.5512 EUR 24/02/15
23/08/01 1.4156 EUR 23/08/15
23/02/01 1.2009 EUR 23/02/15
22/08/02 0.914 EUR 22/08/16
22/02/01 0.8145 EUR 22/02/15
21/08/02 0.8226 EUR 21/08/16
21/02/01 0.8512 EUR 21/02/16
20/08/03 0.8746 EUR 20/08/18
20/02/03 0.9336 EUR 20/02/18
19/08/01 0.9409 EUR 19/08/15
19/02/01 0.8574 EUR 19/02/15
18/08/01 0.8797 EUR 18/08/16
18/02/01 0.6829 EUR 18/02/15
17/08/01 1.0973 EUR 17/08/15
17/02/01 0.991 EUR 17/02/15
16/08/02 1.0051 EUR 16/08/15
16/02/01 1.0629 EUR 16/02/15
15/07/31 0.989 EUR 15/08/14
15/01/30 1.1732 EUR 15/02/13
14/07/31 1.2722 EUR 14/08/14
14/01/31 1.3463 EUR 14/02/14
13/07/31 1.355 EUR 13/08/14
13/01/31 1.721 EUR 13/02/14
12/07/31 1.7098 EUR 12/08/14
 

Dividends paid by Standard ETF Spdr Bl Euro High Yld Bond Ucits Etf


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