Ex-Date | Pay Date | Amount | Change |
---|---|---|---|
£0.016 | |||
£0.008 | 0% | ||
£0.008 | 0% | ||
£0.032 | 0% | ||
£0.008 | 0% | ||
£0.008 | 0% | ||
£0.008 | 0% | ||
£0.008 | 0% | ||
£0.032 | 0% | ||
£0.032 | 0% | ||
£0.032 | 0% | ||
£0.032 | 0% | ||
£0.032 | 0% | ||
£0.032 | 0% | ||
£0.032 | 0% | ||
£0.032 | 0% | ||
£0.032 | -15.79% |
Hansa Investment Company Ltd Ord pays a dividend yield (FWD) of 1.24%.
- ISIN
- WKN
- Symbol / Exchange
- / XLON
- Value
- €2.97
- Dividend frequency
- quarterly
- Security Type
- Equity
- Dividend Currency
- British Pound
- Earnings Date
- 43 Countries
United States
39.53%Brazil
32.69%United Kingdom
3.78%Japan
2.94%Sweden
1.65%Norway
1.60%Taiwan
1.59%China
1.58%Canada
1.55%Hong Kong SAR China
1.51%Portugal
1.38%Singapore
1.35%Spain
1.22%Switzerland
0.88%India
0.81%Germany
0.73%France
0.59%Australia
0.59%South Korea
0.58%Netherlands
0.56%Mexico
0.33%Philippines
0.32%South Africa
0.24%Thailand
0.24%Vietnam
0.18%Italy
0.17%Indonesia
0.13%Greece
0.12%Malaysia
0.091%Denmark
0.081%Chile
0.079%Finland
0.064%Belgium
0.053%Argentina
0.040%Poland
0.038%Peru
0.037%Hungary
0.028%Ireland
0.024%Pakistan
0.022%Türkiye
0.022%Austria
0.0085%Colombia
0.0062%New Zealand
0.00020%
- 11 Sectors
Financials
48.47%Information Technology
16.76%Industrials
9.07%Communication Services
5.87%Health Care
5.10%Consumer Discretionary
4.52%Materials
3.77%Energy
3.41%Consumer Staples
1.71%Real Estate
0.73%Utilities
0.59%