Frequency - Quaterly

Dividend Date Revenew Currency Payment Date
24/04/25 0.0433 USD 24/05/17
24/01/18 0.0362 USD 24/02/08
23/10/19 0.0813 USD 23/11/10
23/07/27 0.0952 USD 23/08/18
23/04/27 0.0375 USD 23/05/19
23/01/19 0.0443 USD 23/02/10
22/10/20 0.102 USD 22/11/14
22/07/21 0.103 USD 22/08/12
22/04/21 0.0397 USD 22/05/13
22/01/27 0.045 USD 22/02/18
21/10/21 0.1054 USD 21/11/12
21/07/22 0.0805 USD 21/08/13
21/04/29 0.0385 USD 21/05/21
21/01/28 0.0307 USD 21/02/18
20/10/22 0.0753 USD 20/11/13
20/04/23 0.0266 USD 20/05/15
20/02/06 0.0387 USD 20/02/27
19/10/17 0.0843 USD 19/11/07
19/07/25 0.0897 USD 19/08/16
19/04/11 0.0235 USD 19/05/02
19/01/24 0.0313 USD 19/02/15
18/10/18 0.0917 USD 18/11/09
18/07/26 0.076 USD 18/08/14
18/04/19 0.0262 USD 18/05/11
18/01/25 0.0267 USD 18/02/16
17/10/26 0.0763 USD 17/11/17
17/07/27 0.0662 USD 17/08/18
 

Dividends paid by Standard ETF Hsbc Msci Emerging Markets Ucits Etf


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