TSE:1343 - Nomura Asset Management Co.,Ltd. - Nomura Next Funds REIT Index ETF Nomura Asset Management Co.,Lt
Sector: Miscellaneous, Industry: Investment Trusts/Mutual Funds
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Summary


ExDate Payable Date Type Amount (%)
8 Feb 2025 19 Mar 2025 Projected JPY 20.2 (1.03%)
9 Nov 2024 19 Dec 2024 Projected JPY 19.2 (0.98%)
9 Aug 2024 15 Sep 2024 Projected JPY 18.3 (0.94%)
9 May 2024 16 Jun 2024 Projected JPY 19.6 (1.00%)
8 Feb 2024 19 Mar 2024 OrdinaryDividend JPY 20.2 (1.05%)
9 Nov 2023 19 Dec 2023 OrdinaryDividend JPY 19.2 (0.97%)
9 Aug 2023 15 Sep 2023 OrdinaryDividend JPY 18.3 (0.90%)
9 May 2023 16 Jun 2023 OrdinaryDividend JPY 19.6 (0.96%)
9 Feb 2023 20 Mar 2023 OrdinaryDividend JPY 17.9 (0.90%)
9 Nov 2022 19 Dec 2022 OrdinaryDividend JPY 18.8 (0.90%)
9 Aug 2022 16 Sep 2022 OrdinaryDividend JPY 17.2 (0.79%)
9 May 2022 17 Jun 2022 OrdinaryDividend JPY 19.5 (0.91%)
9 Feb 2022 18 Mar 2022 OrdinaryDividend JPY 16.3 (0.81%)
9 Nov 2021 17 Dec 2021 OrdinaryDividend JPY 18.8 (0.83%)
6 Aug 2021 17 Sep 2021 OrdinaryDividend JPY 16.1 (0.68%)
7 May 2021 18 Jun 2021 OrdinaryDividend JPY 19 (0.85%)
9 Feb 2021 19 Mar 2021 OrdinaryDividend JPY 16.6 (0.82%)
9 Nov 2020 18 Dec 2020 OrdinaryDividend JPY 18.8 (1.03%)
6 Aug 2020 18 Sep 2020 OrdinaryDividend JPY 17.1 (0.94%)
7 May 2020 18 Jun 2020 OrdinaryDividend JPY 18.1 (1.07%)
7 Feb 2020 19 Mar 2020 OrdinaryDividend JPY 19.2 (0.81%)
7 Nov 2019 19 Dec 2019 OrdinaryDividend JPY 16.5 (0.69%)
8 Aug 2019 18 Sep 2019 OrdinaryDividend JPY 16.1 (0.74%)
8 May 2019 18 Jun 2019 OrdinaryDividend JPY 17.4 (0.86%)
6 Feb 2019 20 Mar 2019 OrdinaryDividend JPY 18.8 (0.94%)
7 Nov 2018 19 Dec 2018 OrdinaryDividend JPY 16.4 (0.87%)
8 Aug 2018 18 Sep 2018 OrdinaryDividend JPY 15.7 (0.83%)
8 May 2018 18 Jun 2018 OrdinaryDividend JPY 15.9 (0.86%)
7 Feb 2018 20 Mar 2018 OrdinaryDividend JPY 17.3 (0.96%)
8 Nov 2017 19 Dec 2017 OrdinaryDividend JPY 15.8 (0.91%)
8 Aug 2017 15 Sep 2017 OrdinaryDividend JPY 14.3 (0.79%)
8 May 2017 16 Jun 2017 OrdinaryDividend JPY 15 (0.80%)
8 Feb 2017 21 Mar 2017 OrdinaryDividend JPY 16.4 (0.84%)
8 Nov 2016 19 Dec 2016 OrdinaryDividend JPY 13 (0.69%)
8 Aug 2016 16 Sep 2016 OrdinaryDividend JPY 13.1 (0.67%)
6 May 2016 17 Jun 2016 OrdinaryDividend JPY 13.5 (0.66%)
8 Feb 2016 18 Mar 2016 OrdinaryDividend JPY 15 (0.77%)
6 Nov 2015 18 Dec 2015 OrdinaryDividend JPY 12.8 (0.70%)
6 Aug 2015 18 Sep 2015 OrdinaryDividend JPY 13.3 (0.70%)
1 May 2015 18 Jun 2015 OrdinaryDividend JPY 12.5 (0.63%)
6 Feb 2015 20 Mar 2015 OrdinaryDividend JPY 13.2 (0.66%)
6 Nov 2014 19 Dec 2014 OrdinaryDividend JPY 12 (0.66%)
6 Aug 2014 18 Sep 2014 OrdinaryDividend JPY 14 (0.81%)
7 May 2014 18 Jun 2014 OrdinaryDividend JPY 11 (0.69%)
6 Feb 2014 20 Mar 2014 OrdinaryDividend JPY 13.1 (0.85%)
6 Nov 2013 19 Dec 2013 OrdinaryDividend JPY 10.5 (0.68%)
7 Aug 2013 18 Sep 2013 OrdinaryDividend JPY 11.2 (0.78%)
8 May 2013 18 Jun 2013 OrdinaryDividend JPY 18.7 (1.11%)
6 Feb 2013 21 Mar 2013 OrdinaryDividend JPY 9.3 (0.71%)
7 Nov 2012 19 Dec 2012 OrdinaryDividend JPY 10.6 (0.95%)
8 Aug 2012 18 Sep 2012 OrdinaryDividend JPY 9.5 (0.94%)
8 May 2012 18 Jun 2012 OrdinaryDividend JPY 8.5 (0.84%)
8 Feb 2012 19 Mar 2012 OrdinaryDividend JPY 9.2 (1.01%)
8 Nov 2011 19 Dec 2011 OrdinaryDividend JPY 10.2 (1.10%)
8 Aug 2011 16 Sep 2011 OrdinaryDividend JPY 12.5 (1.20%)
6 May 2011 17 Jun 2011 OrdinaryDividend JPY 11.8 (1.05%)
8 Feb 2011 18 Mar 2011 OrdinaryDividend JPY 12.5 (1.08%)
8 Nov 2010 17 Dec 2010 OrdinaryDividend JPY 9.2 (0.89%)
6 Aug 2010 17 Sep 2010 OrdinaryDividend JPY 10.8 (1.13%)
6 May 2010 17 Jun 2010 OrdinaryDividend JPY 16.3 (1.56%)
8 Feb 2010 19 Mar 2010 OrdinaryDividend JPY 15.5 (1.63%)
5 Nov 2009 18 Dec 2009 OrdinaryDividend JPY 15.6 (1.57%)
5 Aug 2009 18 Sep 2009 OrdinaryDividend JPY 12.2 (1.15%)
30 Apr 2009 18 Jun 2009 OrdinaryDividend JPY 11.6 (1.36%)
5 Feb 2009 19 Mar 2009 OrdinaryDividend JPY 5.4 (0.61%)

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