Borusan Yatirim Pazarlama ASTürkiye

€111.26
Dividend Yield (FWD)
0.40%
Annual Payout (FWD)
TRY 14.53
Dividend Growth Rate (CAGR)
#.##%

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Ex-DatePay DateAmountChange
TRY 5.71
137.92%
TRY 5.71
137.92%
TRY 2.40
56.86%
TRY 2.40
56.86%
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Borusan Yatirim Pazarlama AS pays a dividend yield (FWD) of 0.40%.

ISIN
WKN
Symbol / Exchange
/ XIST
Value
€111.26
Dividend frequency
none
Security Type
Equity
Sector

Materials

Country
Türkiye

Türkiye

Dividend Currency
Turkish Lira
Resources

Frequently Asked Questions about Borusan Yatirim Pazarlama AS

Within the last 12 months, Borusan Yatirim Pazarlama AS paid a dividend of TRY 0.00. For the next 12 months, Borusan Yatirim Pazarlama AS is expected to pay a dividend of TRY 14.53. This corresponds to a dividend yield of approximately 0.40%.
The dividend yield of Borusan Yatirim Pazarlama AS is currently 0.40%.
Borusan Yatirim Pazarlama AS pays dividends. This is paid in the months of April.
The next dividend for Borusan Yatirim Pazarlama AS is expected in April.
Within the last 10 years, Borusan Yatirim Pazarlama AS has paid dividends in 5 of them.
Dividends of TRY 14.53 are expected for the next 12 months. This corresponds to a dividend yield of 0.40%.
Borusan Yatirim Pazarlama AS is assigned to the sector "Materials".
The last stock split of Borusan Yatirim Pazarlama AS was on January 3, 2005 in the ratio 1:1000.
To receive the last dividend of Borusan Yatirim Pazarlama AS on April 25, 2022 in the amount of TRY 5.71 you had to have the stock in your portfolio before the ex-day on April 21, 2022.
The last dividend was paid on April 25, 2022.
In 2022, dividends of TRY 5.71 were paid by Borusan Yatirim Pazarlama AS.
Dividends from Borusan Yatirim Pazarlama AS are paid in Turkish Lira.
The headquarters of Borusan Yatirim Pazarlama AS is located in Türkiye.