Morningstar Aandelenrapport

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Historische dividenden
Declaratie datumEx-DatumBetaaldatumTypeValutaBedrag
11-05-202328-03-202426-06-2024Contant dividendCurrencyCode_JPY15,00
11-05-202328-09-202329-11-2023Contant dividendCurrencyCode_JPY5,00
12-05-202230-03-202328-06-2023Contant dividendCurrencyCode_JPY10,00
11-05-202130-03-202229-06-2022Contant dividendCurrencyCode_JPY5,00
14-05-201927-09-201927-11-2019Contant dividendCurrencyCode_JPY10,00
14-05-201827-03-201926-06-2019Contant dividendCurrencyCode_JPY28,50
14-05-201826-09-201828-11-2018Contant dividendCurrencyCode_JPY28,50
11-05-201728-03-201827-06-2018Contant dividendCurrencyCode_JPY26,50
16-06-201727-09-201722-11-2017Contant dividendCurrencyCode_JPY26,50
08-11-201629-03-201728-06-2017Contant dividendCurrencyCode_JPY24,00
14-06-201628-09-2016-Contant dividendCurrencyCode_JPY24,00
04-11-201529-03-201623-06-2016Contant dividendCurrencyCode_JPY21,00
15-09-201528-09-201526-11-2015Contant dividendCurrencyCode_JPY21,00
12-03-201527-03-201524-06-2015Contant dividendCurrencyCode_JPY16,50
24-06-201426-09-201426-11-2014Contant dividendCurrencyCode_JPY16,50
25-03-201427-03-2014-Contant dividendCurrencyCode_JPY15,00
24-09-201326-09-201326-11-2013Contant dividendCurrencyCode_JPY15,00
11-05-201227-03-2013-Contant dividendCurrencyCode_JPY12,50
11-05-201226-09-201227-11-2012Contant dividendCurrencyCode_JPY12,50
13-03-201228-03-201227-06-2012Contant dividendCurrencyCode_JPY10,00
13-05-201128-09-201129-11-2011Contant dividendCurrencyCode_JPY10,00
22-12-201029-03-201130-06-2011Contant dividendCurrencyCode_JPY5,00
12-05-201028-09-201029-11-2010Contant dividendCurrencyCode_JPY5,00
10-09-200825-09-200828-11-2008Contant dividendCurrencyCode_JPY11,00
11-03-200826-03-200826-06-2008Contant dividendCurrencyCode_JPY20,00
10-09-200725-09-200727-11-2007Contant dividendCurrencyCode_JPY20,00
12-03-200727-03-200721-06-2007Contant dividendCurrencyCode_JPY17,00
11-09-200626-09-200628-11-2006Contant dividendCurrencyCode_JPY17,00
13-03-200628-03-200628-06-2006Contant dividendCurrencyCode_JPY15,00
12-09-200527-09-200525-11-2005Contant dividendCurrencyCode_JPY14,00
13-03-200528-03-200522-06-2005Contant dividendCurrencyCode_JPY12,00
12-09-200427-09-200429-11-2004Contant dividendCurrencyCode_JPY12,00
11-03-200426-03-200424-06-2004Contant dividendCurrencyCode_JPY11,00
10-09-200325-09-200309-12-2003Contant dividendCurrencyCode_JPY8,00
11-03-200326-03-200320-06-2003Contant dividendCurrencyCode_JPY10,00
10-09-200225-09-200210-12-2002Contant dividendCurrencyCode_JPY4,00
11-03-200226-03-200221-06-2002Contant dividendCurrencyCode_JPY8,00
12-03-200127-03-200122-06-2001Contant dividendCurrencyCode_JPY7,00
11-03-199826-03-199826-06-1998Contant dividendCurrencyCode_JPY7,00
10-09-199725-09-199701-12-1997Contant dividendCurrencyCode_JPY3,00
11-03-199726-03-199730-06-1997Contant dividendCurrencyCode_JPY7,00
11-03-199626-03-199628-06-1996Contant dividendCurrencyCode_JPY7,00
13-03-199528-03-199530-06-1995Contant dividendCurrencyCode_JPY7,00
13-03-199428-03-199430-06-1994Contant dividendCurrencyCode_JPY7,00
11-03-199326-03-199330-06-1993Contant dividendCurrencyCode_JPY7,00
11-03-199226-03-199229-06-1992Contant dividendCurrencyCode_JPY7,00
10-09-199125-09-199102-12-1991Contant dividendCurrencyCode_JPY7,00
11-03-199126-03-199128-06-1991Contant dividendCurrencyCode_JPY7,00
10-09-199025-09-199003-12-1990Contant dividendCurrencyCode_JPY7,00
12-03-199027-03-199029-06-1990Contant dividendCurrencyCode_JPY7,00
11-09-198926-09-198916-01-1990Contant dividendCurrencyCode_JPY7,00
13-03-198928-03-198916-07-1989Contant dividendCurrencyCode_JPY7,00
12-09-198827-09-198816-01-1989Contant dividendCurrencyCode_JPY7,00
13-03-198828-03-198816-07-1988Contant dividendCurrencyCode_JPY7,00
10-09-198725-09-198716-01-1988Contant dividendCurrencyCode_JPY7,00
12-03-198727-03-198716-07-1987Contant dividendCurrencyCode_JPY7,00
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