Frequency - Quaterly

Dividend Date Revenew Currency Payment Date
24/03/14 0.21929 GBP 24/03/27
23/12/14 0.216734 GBP 23/12/27
23/09/14 0.379522 GBP 23/09/27
23/06/15 0.379916 GBP 23/06/28
23/03/16 0.307538 GBP 23/03/29
22/12/15 0.177608 GBP 22/12/28
22/09/15 0.38227 GBP 22/09/28
22/06/16 0.529922 GBP 22/06/29
22/03/17 0.197179 GBP 22/03/30
21/12/16 0.159675 GBP 21/12/29
21/09/16 0.463547 GBP 21/09/29
21/06/17 0.304626 GBP 21/06/30
21/03/18 0.329654 GBP 21/03/31
20/12/17 0.136147 GBP 20/12/30
20/09/24 0.247658 GBP 20/10/07
20/06/11 0.100577 GBP 20/06/24
20/03/26 0.377945 GBP 20/04/08
19/12/12 0.235421 GBP 19/12/27
19/09/26 0.430731 GBP 19/10/09
19/06/27 0.437748 GBP 19/07/10
19/03/28 0.446889 GBP 19/04/10
 

Dividends paid by Standard ETF Vanguard Ftse 100 Ucits Etf


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