Calendario de dividendos de 10 de mayo de 2022

Filtros
Tipo de valor
Sector
País
Frecuencia del dividendo
Divisa del dividendo
Rentabilidad por dividendo prevista
0,0 %
todos
Crecimiento del dividendo (CAGR)
-
todos
Rentabilidad total anualizada (CAGR)
-
todos

Mantén siempre tus dividendos a la vista con tu calendario personal de dividendos para tu cartera.

Regístrate gratis

Todos los 190 dividendos con fecha de pago el

ValorFecha ex-dividendoFecha de pagoDiv.%Importe
AGNC Investment Corp
12,92 %0,12 $
freenet AG
8,71 %1,57 €
AXA SA
5,24 %1,54 €
Sanofi SA
5,39 %3,87 €
Talanx AG
3,24 %1,60 €
American Express Co
1,12 %0,52 $
ProSiebenSat 1 Media SE
1,42 %0,80 €
MTU Aero Engines AG
0,99 %2,10 €
Siltronic AG
0,22 %3,00 €
Wallenius Wilhelmsen ASA
15,45 %0,83 NOK
Investor AB Class B
1,47 %3,00 SEK
Dividend 15 Split Corp Class A
13,01 %0,10 CAD
Alzchem Group AG
1,23 %1,00 €
Investor AB Class A
1,49 %3,00 SEK
KSB SE & Co KGaA Vz
3,29 %12,26 €
Hexagon AB Class B
1,85 %1,14 SEK
Sembcorp Industries Ltd
4,15 %0,03 SGD
Lennar Corp Class A
2,37 %0,38 $
JOST Werke SE
2,79 %1,05 €
Domino's Pizza Group PLC
6,03 %0,07 GBP
EnBW Energie Baden-Wuerttemberg AG
2,45 %1,08 €
KSB SE & Co KGaA
2,83 %12,00 €
Magyar Telekom Telecommunications PLC
5,85 %15 HUF
Singapore Technologies Engineering Ltd
2,09 %0,10 SGD
Galp Energia SGPS SA
3,28 %0,27 €
Fast Retailing Co Ltd
0,86 %93 JPY
DNP Select Income Fund
7,10 %0,07 $
Canadian Banc Corp Class A
20,12 %0,12 CAD
Bradespar SA
8,55 %1,43 BRL
Financial 15 Split Corp Shs -A- 1.12.20
11,97 %0,09 CAD
St Galler Kantonalbank AG
3,09 %17,00 CHF
Albertsons Companies Inc Class A
4,61 %0,12 $
Geo Energy Resources Ltd
0,75 %0,05 SGD
Concentrix Corp
6,86 %0,25 $
Bradespar SA
8,21 %1,58 BRL
BERTELSMANN GEN.2001
5,91 %15,00 €
North American Financial 15 Split Corp Shs -A- 2004-1.12.19
11,38 %0,09 CAD
NSI NV
9,08 %1,12 €
Bumitama Agri Ltd
5,51 %0,03 SGD
Banco del Bajio SA
9,04 %3,92 MXN
VinaCapital Vietnam Opportunity Fund Ord
2,40 %0,06 GBP
Biotest AG Vorz-Inhaber-Akt ohne Stimmrecht
0,12 %0,04 €
Thanachart Capital PCL Units Non-Voting Depository Receipt
5,11 %1,80 ฿
F&C Investment Trust
1,24 %0,01 GBP
Dividend 15 Split Corp II Shs -A- 2006-1.12.19
13,03 %0,10 CAD
Hammerson PLC
4,64 %0,02 GBP
Lennar Corp Class B
2,41 %0,38 $
Greenbrier Companies Inc
2,90 %0,27 $
SKAN Group AG
0,39 %0,24 CHF
Duratec Ltd
1,77 %0,01 AUD
Rathbones Group PLC
6,22 %0,54 GBP
Spirent Communications PLC
0,00 %0,03 GBP
Canadian Banc Corp Pfd Registered Shs 2005-1.12.18 Fltg Rt
5,75 %0,04 CAD
Dividend 15 Split Corp Pfd Shs 2004-1.12.19
6,49 %0,05 CAD
Bumrungrad Hospital PCL Shs Foreign Registered
5,89 %2,05 ฿
Fibra Danhos Certificados Bursatiles Fiduciarios Inmobiliarios Series -13-
6,43 %0,58 MXN
Nolato AB Class B
3,45 %1,90 SEK
Volati AB
6,41 %10,00 SEK
Avarda Bank AB
2,53 %0,33 SEK
Lighthouse Properties PLC
0,32 %0,02 ZAR
Petroreconcavo SA
0,00 %0,16 BRL
Suburban Propane Partners LP
7,29 %0,33 $
Bure Equity AB
1,06 %2,25 SEK
Crédit Agricole Nord de France
2,95 %1,05 €
Financial 15 Split Corp
6,76 %0,06 CAD
Saga Furs Oyj Class C
4,86 %1,28 €
The Goldman Sachs Group Inc DR
6,02 %0,23 $
Barings Umbrella Fund PLC - Barings Developed and Emerging Markets High Yield Bd Fd Trnh G USD IncMn
8,11 %0,04 $
Capital Ltd
2,52 %0,02 GBP
Dividend Select 15 Corp Equity Shs 2010-1.12.17
9,72 %0,08 CAD
NCAB Group AB
1,50 %0,30 SEK
Nilorngruppen AB Class B
1,99 %5,00 SEK
Alarko Holding AS
3,18 %0,23 TRY
Caisse Regionale de Credit Agricole Mutuel de Brie Picardy
3,03 %1,00 €
Canadian Life Companies Split Corp Pfd Shs
6,47 %0,05 CAD
Kasikornbank Public Co Ltd Units Non-Voting Depository Receipt
6,03 %2,75 ฿
Kasikornbank Public Co Ltd Units Non-Voting Depository Receipt
6,03 %2,75 €
Prime Dividend Corp Registered Shs -A- 2005-1.12.18
7,26 %0,10 CAD
The Goldman Sachs Group Inc DR
6,04 %0,25 $
The Goldman Sachs Group Inc Repr 1/1000th Flt Rt Non-Cum Pfd Series -C-
6,02 %0,25 $
Azrieli Group Ltd
1,66 %5,36 ILS
Clinica de Marly SA
27,34 %75 COP
KCE Electronics PCL Units Non-Voting Depository Receipt
2,82 %1,00 ฿
Krung Thai Bank PCL Units Non-Voting Depository Receipt
5,43 %0,42 ฿
North American Financial 15 Split Corp Pfd Registered Shs 2004-1.12.19
6,98 %0,06 CAD
Prime Dividend Corp Cum Pfd Registered Shs -A- 2005-1.12.18
6,21 %0,05 CAD
Amundi Money Market Fund - Short Term (USD) IC-D
3,18 %0,00 $
APAC Realty Ltd
6,73 %0,03 SGD
Bresco - Fundo DE Investimento Imobiliario
10,96 %0,63 BRL
CIMB Thai Bank PLC Shs Foreign Registered
34,50 %0,01 ฿
Franklin U.S. Low Volatility High Dividend Index ETF
2,50 %0,26 $
Fundo Invest Imobiliario Edificio Ourinvest
7,01 %1,47 BRL
Fundo Invest Imobiliario INDL Brasil
9,10 %3,30 BRL
Hospital Mater Dei SA
3,11 %0,09 BRL
HSBC GIF Asia Pacific ex Japan Equity High Dividend AM2
2,55 %0,04 $
Interlife Holdings Co Ltd
3,75 %4 JPY
Koshidaka Holdings Co Ltd
2,78 %4 JPY
NB Global Corporate Income Trust
0,00 %0,01 AUD
Newtech Co Ltd
1,89 %25 JPY
Newtech Co Ltd
1,89 %25 JPY
Ohio Valley Banc Corporation
2,27 %0,21 $
Retail Value Inc
0,00 %2,13 $
Sociedad de Inversiones Pampa Calichera SA Class A
0,00 %0 CLP
Taiwan Fire & Marine Insurance Co Ltd
12,45 %1,07 TWD
The Goldman Sachs Group Inc DR
0,00 %0,34 $
The Goldman Sachs Group Inc DR
0,00 %0,40 $
Tres Tentos Agroindustrial SA
1,16 %0,02 BRL
American Express Co Cedear
0,00 %0,10 ARS
Beijing SDL Technology Co Ltd Class A
2,75 %0,30 CNY
Bumrungrad Hospital PCL
5,90 %2,05 ฿
Chongqing Qin'an M&E PLC Class A
0,00 %0,50 CNY
Chongqing Sanxia Paints Co Ltd
0,26 %0,03 CNY
CIMB Thai Bank PLC
15,63 %0,01 ฿
Codorus Valley Bancorp Inc
0,00 %0,15 $
Com7 PCL Units Non-Voting Depository Receipts
3,73 %1,00 ฿
Commerce Split Corp Pfd Shs -I- 2010-1.12.19
5,78 %0,03 CAD
Commerce Split Corp Pfd Shs -II- 2010-1.12.19
6,96 %0,03 CAD
Commercial Bank Of Kuwait
7,50 %0,018 KWD
Compania Pesquera Camanchaca SA
0,00 %0 CLP
Dividend 15 Split Corp II 5 1/4 % Pfd Shs 2006-1.12.19
6,36 %0,05 CAD
Do Day Dream PCL
5,88 %0,35 ฿
Embellence Group AB
4,26 %0,80 SEK
Export Investment Corp Ltd
2,36 %0,44 ILS
Firetrade Engineering PCL
6,34 %0,01 ฿
G Capital PCL
0,00 %0,10 ฿
Globlex Holding Management PCL
0,68 %0,11 ฿
Glodon Co Ltd Class A
2,73 %0,21 CNY
Guilin Fuda Co Ltd Class A
0,74 %0,50 CNY
Hanshang Group Co Ltd Class A
0,00 %0,10 CNY
Hoden Seimitsu Kako Kenkyusho Co Ltd
0,62 %20 JPY
Home Product Center PCL Units Non-voting Depository Receipt
5,80 %0,20 ฿
HSBC GIF Global Emerging Markets Multi-Asset Income AM3OEUR
3,94 %0,02 €
HSBC Global Investment Funds - Global Credit Floating Rate Fixed Term Bond 2023 - 1 AM2
0,00 %0,02 $
HSBC Global Investment Funds - Global Credit Floating Rate Fixed Term Bond 2023 - 1 AM3HEUR
0,00 %0,01 €
HSBC Global Investment Funds - Global Credit Floating Rate Fixed Term Bond 2023 - 1 BM2
0,00 %0,03 $
HSBC Global Investment Funds - Global Credit Floating Rate Fixed Term Bond 2023 - 1 BM3HEUR
0,00 %0,01 €
HSBC Global Investment Funds - Global Credit Floating Rate Fixed Term Bond 2023 - 1 PM2
0,00 %0,03 $
HSBC Global Investment Funds - Global Credit Floating Rate Fixed Term Bond 2023 - 1 PM3HEUR
0,00 %0,01 €
HSBC Global Investment Funds - Global Credit Floating Rate Fixed Term Bond 2023 - 2 AM2
0,00 %0,02 $
HSBC Global Investment Funds - Global Credit Floating Rate Fixed Term Bond 2023 - 2 AM3HEUR
0,00 %0,01 €
HSBC Global Investment Funds - Global Credit Floating Rate Fixed Term Bond 2023 - 2 BM2
0,00 %0,03 $
HSBC Global Investment Funds - Global Credit Floating Rate Fixed Term Bond 2023 - 2 PM2
0,00 %0,03 $
Ilirija DD
3,23 %3,50 €
Jiangsu Nata Opto-electronic Material Co Ltd Class A
0,62 %0,04 CNY
Joyoung Co Ltd Class A
1,86 %1,00 CNY
KIDO Group Corp
2,40 %510 ₫
Krungthai Card PCL Units Non-Voting Depository Receipts
4,78 %1,00 €
Krungthai Card PCL Units Non-Voting Depository Receipts
4,78 %1,00 ฿
KT Corp BRDR
3,46 %3,78 BRL
Lowe's Companies Inc ADR
1,53 %0,20 BRL
Media Do Co Ltd
2,98 %21 JPY
MHC Plantations Bhd
5,65 %0,06 MYR
MOBI Industry Co
6,12 %0,09 SAR
Nanhua Futures Co Ltd Class A
0,45 %0,04 CNY
Nanjing Iron & Steel Co Ltd Class A
5,51 %0,30 CNY
NatWest Group PLC BRDR
4,71 %1,05 BRL
Osoul Investment Co
0,00 %0,011 KWD
Pato Chemical Industry PCL
7,20 %0,82 ฿
Peax Solutions Ltd
3,31 %0,24 ILS
PLENUS Co Ltd
0,00 %30 JPY
Poh Huat Resources Holdings Bhd
12,31 %0,02 MYR
Polytronics Technology Corp
1,68 %4,25 TWD
Potomac Bancshares Inc
2,60 %0,09 $
Redwood Capital Bancorp
1,28 %0,07 $
Sea & Air Freight International
7,03 %1000 ₫
Shandong Fiberglass Group Co Ltd Class A
0,00 %0,11 CNY
Sheh Fung Screws Co Ltd
4,62 %4,00 TWD
Southern Co Unit - Series A (2019)
0,00 %0,00 $
Sri Trang Agro-Industry PLC Units Non-Voting Depository Receipt
2,79 %0,65 ฿
Ssangyong C&E
0,00 %110 KRW
Star Petroleum Refining PCL Shs Non-Voting Depository Receipts
5,45 %0,18 ฿
Super Value Co Ltd
0,00 %5 JPY
T ks Technologies PCL
6,30 %0,30 ฿
Ta Chan Securities Co Ltd
1,22 %2,38 TWD
TDb Split Corp A
5,69 %0,10 CAD
TDb Split Corp Priority Equity Shs 2007-1.12.19
6,06 %0,04 CAD
Teyi Pharmaceutical Group Co Ltd Class A
1,57 %0,33 CNY
Toyo Asano Foundation Co Ltd
0,00 %25 JPY
Vanguard Global Aggregate Bond Index ETF (CAD-hedged)
2,85 %0,03 CAD
Vanguard Global ex-U.S. Aggregate Bond Index ETF (CAD-hedged)
2,18 %0,02 CAD
Vanguard U.S. Aggregate Bond Index ETF (CAD-hedged)
3,25 %0,05 CAD
Veracruz Properties Socimi SA
3,02 %0,15 €
Veridis Environment Ltd
0,00 %0,30 ILS
West Pharmaceutical Services Inc BRDR
0,17 %0,03 BRL
Wuhan Tianyuan Group Co Ltd - Class A
0,21 %0,03 CNY
Yunnan Energy Investment Co Ltd Class A
1,38 %0,02 CNY
Zhejiang Shaoxing RuiFeng Rural Commercial Bank Co Ltd Class A
4,61 %0,14 CNY
Zhejiang Zomax Transmission Co Ltd Class A
1,36 %0,30 CNY
Zimmite Taiwan Ltd
6,00 %3,80 TWD
ZTE Corp Class A
1,52 %0,30 CNY

¿Calendario de dividendos personal para tu cartera?
Regístrese ahora, gratis.