Frequency - Semiannual

Dividend Date Revenew Currency Payment Date
23/11/16 0.3057 EUR 23/11/29
23/05/19 0.3802 EUR 23/05/30
22/11/17 0.295 EUR 22/11/30
22/05/12 0.2757 EUR 22/05/25
21/11/11 0.3265 EUR 21/11/24
21/05/13 0.1741 EUR 21/05/26
20/11/12 0.1344 EUR 20/11/25
20/05/14 0.0568 EUR 20/05/27
19/11/14 0.3665 EUR 19/11/27
19/05/16 0.1059 EUR 19/05/31
18/11/15 0.2804 EUR 18/11/28
18/05/17 0.0838 EUR 18/05/31
17/11/16 0.2194 EUR 17/11/30
17/05/11 0.085 EUR 17/05/31
16/11/10 0.2778 EUR 16/11/28
16/05/12 0.0461 EUR 16/05/31
15/11/12 0.2788 EUR 15/11/27
15/04/30 0.0054 EUR 15/05/21
14/10/30 0.2567 EUR 14/11/20
14/04/16 0.0093 EUR 14/05/07
13/10/23 0.241 EUR 13/11/13
13/04/24 0.0105 EUR 13/05/15
12/10/24 0.2372 EUR 12/11/14
12/04/25 0.0347 EUR 12/05/16
11/10/26 0.2709 EUR 11/11/23
11/04/27 0.0258 EUR 11/05/25
10/10/27 0.0793 EUR 10/11/24
10/06/23 0.1905 EUR 10/07/21
10/04/28 0.0188 EUR 10/05/26
09/10/28 0.2368 EUR 09/11/25
09/04/28 0.053 EUR 09/05/27
08/10/29 0.6756 EUR 08/11/26
08/04/30 0.0613 EUR 08/05/28
 

Dividends paid by Standard ETF Ishares Ftse Mib Ucits Etf Eur Dist


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