Unternehmen | ISIN-Code | Dividende (Währung) | Dividende (EUR) |
ANHUI EXPRESSWAY CO LTD | CNE1000001X0 | 0,6607 HKD | 0,0785 EUR |
ARCTIC PAPER SA | PLARTPR00012 | 1 PLN | 0,2311 EUR |
ARGOSY PROPERTY LIMITED | NZARGE0010S7 | 0,0041 NZD | 0,0023 EUR |
ARTS OPTICAL INTERNATIONAL HOLDINGS LTD | BMG0505B1081 | 0,05 HKD | 0,0059 EUR |
B2GOLD CORP | CA11777Q2099 | 0,04 USD | 0,0371 EUR |
BEIJING ENTERPRISES HOLDINGS LTD | HK0392044647 | 0,67 HKD | 0,0796 EUR |
BEIJING ENTERPRISES WATER GROUP LTD | BMG0957L1090 | 0,087 HKD | 0,0103 EUR |
BINHAI INVESTMENT CO LTD | BMG1118Y1214 | 0,076 HKD | 0,009 EUR |
BYD CO LTD | CNE100000296 | 3,4039 HKD | 0,4047 EUR |
BYD CO LTD-R | CNE1000062P8 | 3,4039 HKD | 0,4047 EUR |
BYD ELECTRONIC INTERNATIONAL CO LTD | HK0285041858 | 0,5915 HKD | 0,0703 EUR |
CHAOWEI POWER HOLDINGS LTD | KYG204791043 | 0,053 HKD | 0,0063 EUR |
CHINA POWER INTERNATIONAL DEVELOPMENT LT ... | HK2380027329 | 0,1455 HKD | 0,0172 EUR |
CHINA RESOURCES POWER HOLDINGS CO LTD AD ... | US16943S1042 | 1,0774 USD | 1,001 EUR |
CHINA YONGDA AUTOMOBILES SERVICES HOLDIN ... | KYG2162W1024 | 0,0571 HKD | 0,0067 EUR |
CONSUN PHARMACEUTICAL GROUP LTD | KYG2524A1031 | 0,3 HKD | 0,0356 EUR |
D IETEREN GROUP SA/NV | BE0974259880 | - | 3,75 EUR |
DANAOS CORPORATION | MHY1968P1218 | 0,8 USD | 0,7432 EUR |
DONGYUE GROUP LTD | KYG2816P1072 | 0,1 HKD | 0,0118 EUR |
EVERBRIGHT SECURITIES CO LTD | CNE1000029M4 | 0,3077 HKD | 0,0365 EUR |
FLUGHAFEN WIEN AG ADR | US9266281081 | 0,2291 USD | 0,2129 EUR |
FREQUENTIS AG | ATFREQUENT09 | - | 0,24 EUR |
GAMCO INVESTORS INC | US3614381040 | 0,04 USD | 0,0371 EUR |
GEELY AUTOMOBILE HOLDINGS LTD | KYG3777B1032 | 0,22 HKD | 0,0261 EUR |
GEELY AUTOMOBILE HOLDINGS LTD-R | KYG3777B1370 | 0,22 HKD | 0,0261 EUR |
HONGKONG CHINESE LIMITED | BMG4586T1036 | 0,01 HKD | 0,0011 EUR |
JL MAG RARE-EARTH CO LTD | CNE1000055Y4 | 0,2858 HKD | 0,0339 EUR |
MIDCAP FINANCIAL INVESTMENT CORPORATION | US03761U5020 | 0,38 USD | 0,353 EUR |
MIRAMAR HOTEL AND INVESTMENT CO LTD | HK0071000456 | 0,3 HKD | 0,0356 EUR |
NISSIN FOODS CO LTD | HK0000376142 | 0,1582 HKD | 0,0188 EUR |
NVIDIA CORPORATION | US67066G1040 | 0,01 USD | 0,0092 EUR |
NVIDIA CORPORATION CDR | CA67080A1093 | 0,0093 CAD | 0,0063 EUR |
ORION SA | LU1092234845 | 0,0207 USD | 0,0192 EUR |
PATHWARD FINANCIAL INC | US59100U1088 | 0,05 USD | 0,0464 EUR |
PENNS WOODS BANCORP INC | US7084301032 | 0,32 USD | 0,2973 EUR |
PING AN INSURANCE GROUP CO OF CHINA LTD ... | US72341E3045 | 0,3532 USD | 0,3282 EUR |
PORSCHE AG ADR | US23345V1070 | 0,2025 USD | 0,1882 EUR |
QINGDAO PORT INTERNATIONAL CO LTD | CNE100001SG2 | 0,3217 HKD | 0,0382 EUR |
ROSS STORES INC | US7782961038 | 0,3675 USD | 0,3414 EUR |
SAMSONITE INTERNATIONAL SA | LU0633102719 | 0,8094 HKD | 0,0962 EUR |
SINO BIOPHARMACEUTICAL LTD | KYG8167W1380 | 0,03 HKD | 0,0035 EUR |
SPIRE INC | US84857L1017 | 0,755 USD | 0,7014 EUR |
TFS FINANCIAL CORPORATION | US87240R1077 | 0,2825 USD | 0,2624 EUR |
YIPS CHEMICAL HOLDINGS LTD | KYG9842Z1164 | 0,1 HKD | 0,0118 EUR |
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