Frequency - Quaterly

Dividend Date Revenew Currency Payment Date
25/12/10 0.3319 USD 25/12/22
25/09/10 0.1696 USD 25/09/22
25/06/11 0.4375 USD 25/06/23
25/03/12 0.1199 USD 25/03/24
24/12/11 0.1969 USD 24/12/23
24/09/11 0.1822 USD 24/09/23
24/06/12 0.356 USD 24/06/24
24/03/12 0.1373 USD 24/03/22
23/12/12 0.1679 USD 23/12/22
23/09/12 0.1909 USD 23/09/22
23/06/12 0.3934 USD 23/06/22
23/03/10 0.107 USD 23/03/22
22/12/12 0.1604 USD 22/12/22
22/09/12 0.2187 USD 22/09/22
22/06/10 0.3834 USD 22/06/22
22/03/10 0.1254 USD 22/03/22
21/12/10 0.1747 USD 21/12/22
21/09/10 0.1709 USD 21/09/22
21/06/11 0.3193 USD 21/06/30
21/03/11 0.122 USD 21/03/31
20/12/11 0.1599 USD 20/12/31
20/09/11 0.1364 USD 20/09/30
20/06/11 0.22 USD 20/06/30
20/03/12 0.1738 USD 20/03/31
19/12/12 0.2061 USD 19/12/31
19/09/12 0.1927 USD 19/09/30
19/06/13 0.3125 USD 19/06/28
19/03/13 0.1835 USD 19/03/29
18/12/13 0.1635 USD 18/12/31
18/09/13 0.159 USD 18/09/28
18/06/13 0.2811 USD 18/06/29
18/03/13 0.1828 USD 18/03/29
 

Dividends paid by Standard ETF Franklin Global Quality Div Ucits Etf


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