AllianzGI Emerging Markets SRI
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Unknown,
Industry:
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ExDate |
Payable Date |
Type |
Amount (%)
|
18 Jun 2020
|
8 Jul 2020*
|
CASH |
USD 0.16 (1.18%) |
19 Mar 2020
|
8 Apr 2020*
|
CASH |
USD 0.056 (0.47%) |
19 Dec 2019
|
8 Jan 2020*
|
CASH |
USD 0.135 (0.96%) |
19 Sep 2019
|
9 Oct 2019*
|
CASH |
USD 0.135 (0.96%) |
20 Jun 2019
|
10 Jul 2019*
|
CASH |
USD 0.157 (1.12%) |
21 Mar 2019
|
10 Apr 2019*
|
CASH |
USD 0.223 (1.63%) |
20 Dec 2018
|
9 Jan 2019*
|
CASH |
USD 0.134 (1.03%) |
20 Sep 2018
|
10 Oct 2018*
|
CASH |
USD 0.142 (1.08%) |
21 Jun 2018
|
11 Jul 2018*
|
CASH |
USD 0.185 (1.38%) |
22 Mar 2018
|
11 Apr 2018*
|
CASH |
USD 0.202 (1.39%) |
21 Dec 2017
|
10 Jan 2018*
|
CASH |
USD 0.291 (1.93%) |
21 Sep 2017
|
11 Oct 2017*
|
CASH |
USD 0.257 (1.70%) |
22 Jun 2017
|
12 Jul 2017*
|
CASH |
USD 0.195 (1.31%) |
16 Mar 2017
|
5 Apr 2017*
|
CASH |
USD 0.189 (1.29%) |
22 Dec 2016
|
11 Jan 2017*
|
CASH |
USD 0.348 (2.39%) |
22 Sep 2016
|
12 Oct 2016*
|
CASH |
USD 0.187 (1.25%) |
16 Jun 2016
|
6 Jul 2016*
|
CASH |
USD 0.151 (1.06%) |
17 Mar 2016
|
6 Apr 2016*
|
CASH |
USD 0.07 (0.51%) |
17 Dec 2015
|
6 Jan 2016*
|
CASH |
USD 0.249 (1.84%) |
17 Sep 2015
|
7 Oct 2015*
|
CASH |
USD 0.082 (0.59%) |
18 Jun 2015
|
8 Jul 2015*
|
CASH |
USD 0.131 (0.91%) |
19 Mar 2015
|
8 Apr 2015*
|
CASH |
USD 0.186 (1.29%) |
18 Dec 2014
|
7 Jan 2015*
|
CASH |
USD 0.157 (1.10%) |
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate