TSE:8609 - Okasan Securities Group Inc Okasan Securities Group Inc
Sector: Financials, Industry: Investment Banking & Brokerage
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Summary


ExDate Payable Date Type Amount (%)
28 Mar 2025 26 Jun 2025 Projected JPY 30 (4.10%)
28 Mar 2024 26 Jun 2024* CASH JPY 30 (3.58%)
30 Mar 2023 8 Jun 2023 CASH JPY 10 (2.08%)
30 Mar 2022 8 Jun 2022 CASH JPY 15 (3.80%)
30 Mar 2021 9 Jun 2021 CASH JPY 15 (3.11%)
30 Mar 2020 8 Jun 2020 CASH JPY 10 (2.72%)
27 Mar 2019 7 Jun 2019 CASH JPY 15 (3.37%)
28 Mar 2018 8 Jun 2018 CASH JPY 25 (3.75%)
29 Mar 2017 8 Jun 2017 CASH JPY 25 (3.44%)
29 Mar 2016 8 Jun 2016 CASH JPY 25 (3.98%)
27 Mar 2015 29 Jun 2015 CASH JPY 25 (2.59%)
27 Mar 2014 30 Jun 2014 CASH JPY 25 (2.93%)
27 Mar 2013 28 Jun 2013 CASH JPY 5 (0.54%)
28 Mar 2012 29 Jun 2012 CASH JPY 5 (1.37%)
29 Mar 2011 30 Jun 2011 CASH JPY 5 (1.61%)
29 Mar 2010 30 Jun 2010 CASH JPY 7.5 (1.71%)
26 Mar 2009 29 Jun 2009 CASH JPY 5 (1.36%)
26 Mar 2008 30 Jun 2008 CASH JPY 15 (2.88%)
27 Mar 2007 29 Jun 2007 CASH JPY 15 (1.57%)
28 Mar 2006 30 Jun 2006 CASH JPY 25 (1.92%)
28 Mar 2005 30 Jun 2005 CASH JPY 15 (2.15%)
26 Mar 2004 30 Jun 2004 CASH JPY 15 (2.21%)
26 Mar 2003 30 Jun 2003 CASH JPY 2 (NA)
26 Mar 2002 28 Jun 2002 CASH JPY 7 (NA)
27 Mar 2001 29 Jun 2001 CASH JPY 10 (NA)
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate

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