San ju San Financial Group Inc
Sector:
Financials,
Industry:
Regional Banks
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ExDate |
Payable Date |
Type |
Amount (%)
|
28 Mar 2025 |
26 Jun 2025 |
Projected |
JPY 36 (1.75%) |
28 Sep 2024 |
8 Dec 2024 |
Projected |
JPY 36 (1.75%) |
28 Mar 2024
|
26 Jun 2024*
|
OrdinaryDividend |
JPY 36 (1.67%) |
28 Sep 2023
|
8 Dec 2023
|
OrdinaryDividend |
JPY 36 (1.84%) |
30 Mar 2023
|
26 Jun 2023
|
OrdinaryDividend |
JPY 36 (2.26%) |
29 Sep 2022
|
9 Dec 2022
|
OrdinaryDividend |
JPY 36 (2.51%) |
30 Mar 2022
|
27 Jun 2022
|
OrdinaryDividend |
JPY 36 (2.28%) |
29 Sep 2021
|
10 Dec 2021
|
OrdinaryDividend |
JPY 36 (2.41%) |
30 Mar 2021
|
28 Jun 2021
|
OrdinaryDividend |
JPY 36 (2.38%) |
29 Sep 2020
|
11 Dec 2020
|
OrdinaryDividend |
JPY 36 (2.44%) |
30 Mar 2020
|
22 Jun 2020
|
OrdinaryDividend |
JPY 36 (2.27%) |
27 Sep 2019
|
6 Dec 2019
|
OrdinaryDividend |
JPY 36 (2.09%) |
27 Mar 2019
|
24 Jun 2019
|
OrdinaryDividend |
JPY 36 (2.19%) |
26 Sep 2018
|
7 Dec 2018
|
OrdinaryDividend |
JPY 36 (1.44%) |
28 Mar 2018
|
26 Jun 2018*
|
OrdinaryDividend |
JPY 32.5 (NA) |
27 Sep 2017
|
8 Dec 2017
|
OrdinaryDividend |
JPY 32.5 (NA) |
29 Mar 2017
|
26 Jun 2017
|
OrdinaryDividend |
JPY 32.5 (NA) |
28 Sep 2016
|
9 Dec 2016
|
OrdinaryDividend |
JPY 3.25 (NA) |
29 Mar 2016
|
27 Jun 2016
|
OrdinaryDividend |
JPY 3.25 (NA) |
[+]
[-]
28 Sep 2015
|
10 Dec 2015
|
Grouped |
JPY 4.25 (NA) |
28 Sep 2015
|
10 Dec 2015
|
BonusDividend |
JPY 1 (NA) |
28 Sep 2015
|
10 Dec 2015
|
OrdinaryDividend |
JPY 3.25 (NA) |
27 Mar 2015
|
22 Jun 2015
|
OrdinaryDividend |
JPY 3.25 (NA) |
26 Sep 2014
|
10 Dec 2014
|
OrdinaryDividend |
JPY 3.25 (NA) |
27 Mar 2014
|
23 Jun 2014
|
OrdinaryDividend |
JPY 3.25 (NA) |
26 Sep 2013
|
10 Dec 2013
|
OrdinaryDividend |
JPY 3.25 (NA) |
27 Mar 2013
|
24 Jun 2013
|
OrdinaryDividend |
JPY 3.25 (NA) |
26 Sep 2012
|
10 Dec 2012
|
OrdinaryDividend |
JPY 3.25 (NA) |
28 Mar 2012
|
25 Jun 2012
|
OrdinaryDividend |
JPY 3.25 (NA) |
28 Sep 2011
|
9 Dec 2011
|
OrdinaryDividend |
JPY 3.25 (NA) |
29 Mar 2011
|
23 Jun 2011
|
OrdinaryDividend |
JPY 3.25 (NA) |
28 Sep 2010
|
10 Dec 2010
|
OrdinaryDividend |
JPY 3.25 (NA) |
29 Mar 2010
|
23 Jun 2010
|
OrdinaryDividend |
JPY 3.25 (NA) |
25 Sep 2009
|
10 Dec 2009
|
OrdinaryDividend |
JPY 3.25 (NA) |
26 Mar 2009
|
24 Jun 2009
|
OrdinaryDividend |
JPY 3.25 (NA) |
25 Sep 2008
|
28 Nov 2008
|
OrdinaryDividend |
JPY 3.25 (NA) |
26 Mar 2008
|
26 Jun 2008
|
OrdinaryDividend |
JPY 3.25 (NA) |
25 Sep 2007
|
10 Dec 2007
|
OrdinaryDividend |
JPY 3.25 (NA) |
27 Mar 2007
|
27 Jun 2007
|
OrdinaryDividend |
JPY 3.5 (NA) |
26 Sep 2006
|
8 Dec 2006
|
OrdinaryDividend |
JPY 3 (NA) |
[+]
[-]
28 Mar 2006
|
29 Jun 2006
|
Grouped |
JPY 4.25 (NA) |
28 Mar 2006
|
29 Jun 2006
|
BonusDividend |
JPY 1 (NA) |
28 Mar 2006
|
29 Jun 2006
|
OrdinaryDividend |
JPY 3.25 (NA) |
27 Sep 2005
|
9 Dec 2005
|
OrdinaryDividend |
JPY 2.75 (NA) |
28 Mar 2005
|
29 Jun 2005
|
OrdinaryDividend |
JPY 3 (NA) |
27 Sep 2004
|
10 Dec 2004
|
OrdinaryDividend |
JPY 2.5 (NA) |
26 Mar 2004
|
30 Jun 2004
|
OrdinaryDividend |
JPY 2.5 (NA) |
25 Sep 2003
|
10 Dec 2003
|
OrdinaryDividend |
JPY 2.5 (NA) |
26 Mar 2003
|
30 Jun 2003
|
OrdinaryDividend |
JPY 2.5 (NA) |
25 Sep 2002
|
10 Dec 2002
|
OrdinaryDividend |
JPY 2.5 (NA) |
26 Mar 2002
|
28 Jun 2002
|
OrdinaryDividend |
JPY 2.5 (NA) |
25 Sep 2001
|
10 Dec 2001
|
OrdinaryDividend |
JPY 2.5 (NA) |
27 Mar 2001
|
29 Jun 2001
|
OrdinaryDividend |
JPY 2.5 (NA) |
26 Sep 2000
|
8 Dec 2000
|
OrdinaryDividend |
JPY 2.5 (NA) |
28 Mar 2000
|
30 Jun 2000
|
OrdinaryDividend |
JPY 2.5 (NA) |
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate