TSE:2515 - Nomura Asset Management Co.,Ltd. - NEXT FUNDS Intl REIT S&P Developed REIT Index (ex Jap Nomura Asset Management Co.,Lt
Sector: Miscellaneous, Industry: Investment Trusts/Mutual Funds
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Summary


ExDate Payable Date Type Amount (%)
6 Mar 2025 15 Apr 2025 Projected JPY 11.9 (0.90%)
6 Dec 2024 15 Jan 2025 Projected JPY 10.1 (0.77%)
6 Sep 2024 16 Oct 2024 Projected JPY 12 (0.91%)
6 Jun 2024 14 Jul 2024 Projected JPY 10.3 (0.78%)
6 Mar 2024 15 Apr 2024 OrdinaryDividend JPY 11.9 (0.88%)
6 Dec 2023 15 Jan 2024 OrdinaryDividend JPY 10.1 (0.80%)
6 Sep 2023 16 Oct 2023 OrdinaryDividend JPY 12 (0.96%)
6 Jun 2023 14 Jul 2023 OrdinaryDividend JPY 10.3 (0.86%)
6 Mar 2023 14 Apr 2023 OrdinaryDividend JPY 10.3 (0.85%)
6 Dec 2022 13 Jan 2023 OrdinaryDividend JPY 9.5 (0.79%)
6 Sep 2022 14 Oct 2022 OrdinaryDividend JPY 13.1 (1.02%)
6 Jun 2022 15 Jul 2022 OrdinaryDividend JPY 8.5 (0.65%)
4 Mar 2022 15 Apr 2022 OrdinaryDividend JPY 7.7 (0.63%)
6 Dec 2021 14 Jan 2022 OrdinaryDividend JPY 6.5 (0.52%)
6 Sep 2021 15 Oct 2021 OrdinaryDividend JPY 7.6 (0.62%)
4 Jun 2021 16 Jul 2021 OrdinaryDividend JPY 6.5 (0.57%)
4 Mar 2021 15 Apr 2021 OrdinaryDividend JPY 6.6 (0.68%)
4 Dec 2020 15 Jan 2021 OrdinaryDividend JPY 6.6 (0.73%)
4 Sep 2020 16 Oct 2020 OrdinaryDividend JPY 6.8 (0.77%)
4 Jun 2020 16 Jul 2020 OrdinaryDividend JPY 6.1 (0.69%)
5 Mar 2020 15 Apr 2020 OrdinaryDividend JPY 7.2 (0.66%)
5 Dec 2019 15 Jan 2020 OrdinaryDividend JPY 7.5 (0.68%)
5 Sep 2019 16 Oct 2019 OrdinaryDividend JPY 9.5 (0.92%)
5 Jun 2019 16 Jul 2019 OrdinaryDividend JPY 9.9 (0.98%)
5 Mar 2019 15 Apr 2019 OrdinaryDividend JPY 9 (0.88%)
5 Dec 2018 15 Jan 2019 OrdinaryDividend JPY 8.2 (0.82%)
5 Sep 2018 16 Oct 2018 OrdinaryDividend JPY 9.5 (0.93%)
5 Jun 2018 13 Jul 2018 OrdinaryDividend JPY 9.9 (1.02%)
5 Mar 2018 13 Apr 2018 OrdinaryDividend JPY 4.4 (0.50%)

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