Frequency - Annual

Dividend Date Revenew Currency Payment Date
24/08/21 0.1955 EUR 24/09/05
24/02/21 0.1859 EUR 24/03/07
23/08/23 0.1873 EUR 23/09/07
23/02/08 0.1769 EUR 23/02/24
22/08/10 0.2075 EUR 22/08/25
22/04/27 0.4414 EUR 22/05/03
21/04/28 0.456 EUR 21/05/06
20/06/10 1.3285 EUR 20/06/15
19/04/11 0.5805 EUR 19/04/18
18/04/09 0.1568 EUR 18/04/18
 

Dividends paid by Standard ETF Xtr Esg Usd Em B Qu We Ucits Etf


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