Morningstar Aandelenrapport

東京エレクトロン株式会社 8035

Historische dividenden
Declaratie datumEx-DatumBetaaldatumTypeValutaBedrag
11-05-202328-03-2024-Contant dividendCurrencyCode_JPY219,00
11-05-202328-09-202307-12-2023Contant dividendCurrencyCode_JPY148,00
12-05-202230-03-202331-05-2023Contant dividendCurrencyCode_JPY218,00
10-11-202230-03-202331-05-2023Speciaal contant dividendCurrencyCode_JPY66,66
12-05-202229-09-202207-12-2022Contant dividendCurrencyCode_JPY285,67
30-04-202130-03-202231-05-2022Contant dividendCurrencyCode_JPY253,33
30-04-202129-09-202109-12-2021Contant dividendCurrencyCode_JPY214,33
30-04-202030-03-2021-Contant dividendCurrencyCode_JPY105,00
30-04-202029-09-202027-11-2020Contant dividendCurrencyCode_JPY120,00
26-04-201930-03-202002-06-2020Contant dividendCurrencyCode_JPY114,00
26-04-201927-09-201925-11-2019Contant dividendCurrencyCode_JPY82,00
25-04-201827-03-201928-05-2019Contant dividendCurrencyCode_JPY115,00
25-04-201826-09-201826-11-2018Contant dividendCurrencyCode_JPY137,67
28-04-201728-03-201829-05-2018Contant dividendCurrencyCode_JPY115,67
15-09-201727-09-201727-11-2017Contant dividendCurrencyCode_JPY92,33
31-10-201629-03-201730-05-2017Contant dividendCurrencyCode_JPY74,67
27-04-201628-09-2016-Contant dividendCurrencyCode_JPY42,67
14-12-201529-03-201627-05-2016Contant dividendCurrencyCode_JPY37,33
01-09-201528-09-201530-11-2015Contant dividendCurrencyCode_JPY41,67
12-03-201527-03-201529-05-2015Contant dividendCurrencyCode_JPY22,67
12-12-201426-12-201423-02-2015Contant dividendCurrencyCode_JPY11,67
11-09-201426-09-201401-12-2014Contant dividendCurrencyCode_JPY10,00
11-06-201426-06-201420-08-2014Contant dividendCurrencyCode_JPY3,33
12-03-201427-03-201430-05-2014Contant dividendCurrencyCode_JPY8,33
11-09-201326-09-201302-12-2013Contant dividendCurrencyCode_JPY8,33
12-03-201327-03-201331-05-2013Contant dividendCurrencyCode_JPY5,33
27-04-201227-03-201331-05-2013Speciaal contant dividendCurrencyCode_JPY3,33
11-09-201226-09-201203-12-2012Contant dividendCurrencyCode_JPY5,00
11-09-201226-09-201203-12-2012Speciaal contant dividendCurrencyCode_JPY3,33
13-03-201228-03-201201-06-2012Contant dividendCurrencyCode_JPY9,00
13-09-201128-09-201101-12-2011Contant dividendCurrencyCode_JPY17,67
14-03-201129-03-201127-05-2011Contant dividendCurrencyCode_JPY25,33
13-09-201028-09-201001-12-2010Contant dividendCurrencyCode_JPY12,67
14-03-201029-03-201028-05-2010Contant dividendCurrencyCode_JPY2,67
22-07-200925-09-200901-12-2009Contant dividendCurrencyCode_JPY1,33
04-11-200826-03-200929-05-2009Contant dividendCurrencyCode_JPY1,33
10-09-200825-09-200801-12-2008Contant dividendCurrencyCode_JPY6,67
11-03-200826-03-200830-05-2008Contant dividendCurrencyCode_JPY18,33
10-09-200725-09-200707-12-2007Contant dividendCurrencyCode_JPY23,33
12-03-200727-03-200701-06-2007Contant dividendCurrencyCode_JPY20,33
11-09-200626-09-200607-12-2006Contant dividendCurrencyCode_JPY14,00
13-03-200628-03-200626-06-2006Contant dividendCurrencyCode_JPY10,00
12-09-200527-09-200507-12-2005Contant dividendCurrencyCode_JPY8,33
13-03-200528-03-200527-06-2005Contant dividendCurrencyCode_JPY10,00
12-09-200427-09-200410-12-2004Contant dividendCurrencyCode_JPY5,00
11-03-200426-03-200423-06-2004Contant dividendCurrencyCode_JPY2,00
10-09-200325-09-200308-12-2003Contant dividendCurrencyCode_JPY1,33
11-03-200326-03-200323-06-2003Contant dividendCurrencyCode_JPY1,33
10-09-200225-09-200209-12-2002Contant dividendCurrencyCode_JPY1,33
11-03-200226-03-200224-06-2002Contant dividendCurrencyCode_JPY1,33
10-09-200125-09-200110-12-2001Contant dividendCurrencyCode_JPY1,33
12-03-200127-03-200128-06-2001Contant dividendCurrencyCode_JPY6,33
11-09-200026-09-200008-12-2000Contant dividendCurrencyCode_JPY6,33
13-03-200028-03-200029-06-2000Contant dividendCurrencyCode_JPY2,67
12-09-199927-09-199910-12-1999Contant dividendCurrencyCode_JPY2,00
11-03-199926-03-199930-06-1999Contant dividendCurrencyCode_JPY2,00
10-09-199825-09-199810-12-1998Contant dividendCurrencyCode_JPY2,00
11-03-199826-03-199829-06-1998Contant dividendCurrencyCode_JPY5,00
10-09-199725-09-199710-12-1997Contant dividendCurrencyCode_JPY5,00
11-03-199726-03-199730-06-1997Contant dividendCurrencyCode_JPY4,67
10-09-199625-09-199610-12-1996Contant dividendCurrencyCode_JPY4,67
11-03-199626-03-199628-06-1996Contant dividendCurrencyCode_JPY4,67
11-09-199526-09-199508-12-1995Contant dividendCurrencyCode_JPY3,33
13-03-199528-03-199530-06-1995Contant dividendCurrencyCode_JPY3,00
12-09-199427-09-199409-12-1994Contant dividendCurrencyCode_JPY2,33
13-03-199428-03-199430-06-1994Contant dividendCurrencyCode_JPY2,33
12-09-199327-09-199310-12-1993Contant dividendCurrencyCode_JPY2,33
11-03-199326-03-199330-06-1993Contant dividendCurrencyCode_JPY2,33
10-09-199225-09-199210-12-1992Contant dividendCurrencyCode_JPY2,33
11-03-199226-03-199229-06-1992Contant dividendCurrencyCode_JPY2,33
10-09-199125-09-199102-12-1991Contant dividendCurrencyCode_JPY2,33
11-03-199126-03-199128-06-1991Contant dividendCurrencyCode_JPY2,33
10-09-199025-09-199021-12-1990Contant dividendCurrencyCode_JPY2,00
12-03-199027-03-199004-06-1990Contant dividendCurrencyCode_JPY2,00
11-09-198926-09-198916-01-1990Contant dividendCurrencyCode_JPY2,00
13-03-198928-03-198916-07-1989Contant dividendCurrencyCode_JPY2,00
12-09-198827-09-198816-01-1989Contant dividendCurrencyCode_JPY2,00
13-03-198828-03-198816-07-1988Contant dividendCurrencyCode_JPY1,33
10-09-198725-09-198716-01-1988Contant dividendCurrencyCode_JPY1,33
12-03-198727-03-198716-07-1987Contant dividendCurrencyCode_JPY1,33
Aandelensplitsingen
Ex-DatumGesplitst vanGesplitst naarAanpassingsfractor
30-03-20231,00003,00003,00