935 Followers SGX:BTOU - Manulife US REIT ManulifeReit USD
Sector: Real Estate, Industry: Office REITs
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Summary


ExDate Payable Date Type Amount (%)
16 Feb 2023 30 Mar 2023 OrdinaryDividend USD 0.0214 (SGD 0.0286) (7.13%)
[+] [-] 12 Aug 2022 27 Sep 2022 Grouped USD 0.0261 (SGD 0.0358) (4.50%)
12 Aug 2022 27 Sep 2022 OrdinaryDividend USD 0.004 (SGD 0.0055) (0.69%)
12 Aug 2022 27 Sep 2022 OrdinaryDividend USD 0.0221 (SGD 0.0303) (3.81%)
[+] [-] 16 Feb 2022 30 Mar 2022 Grouped USD 0.0032 (SGD 0.0043) (0.49%)
16 Feb 2022 30 Mar 2022 OrdinaryDividend USD 0.0005 (SGD 0.0007) (0.08%)
16 Feb 2022 30 Mar 2022 OrdinaryDividend USD 0.0027 (SGD 0.0036) (0.41%)
[+] [-] 7 Dec 2021 17 Feb 2022 Grouped USD 0.0231 (SGD 0.0315) (3.32%)
7 Dec 2021 17 Feb 2022 OrdinaryDividend USD 0.0037 (SGD 0.0051) (0.53%)
7 Dec 2021 17 Feb 2022 OrdinaryDividend USD 0.0194 (SGD 0.0265) (2.79%)
[+] [-] 19 Aug 2021 27 Sep 2021 Grouped USD 0.027 (SGD 0.0368) (3.55%)
19 Aug 2021 27 Sep 2021 OrdinaryDividend USD 0.0052 (SGD 0.0071) (0.68%)
19 Aug 2021 27 Sep 2021 OrdinaryDividend USD 0.0218 (SGD 0.0298) (2.87%)
[+] [-] 16 Feb 2021 30 Mar 2021 Grouped USD 0.0259 (SGD 0.0342) (3.60%)
16 Feb 2021 30 Mar 2021 OrdinaryDividend USD 0.0044 (SGD 0.0058) (0.61%)
16 Feb 2021 30 Mar 2021 OrdinaryDividend USD 0.0215 (SGD 0.0284) (2.99%)
[+] [-] 11 Aug 2020 25 Sep 2020 Grouped USD 0.0305 (SGD 0.0419) (3.89%)
11 Aug 2020 25 Sep 2020 OrdinaryDividend USD 0.0106 (SGD 0.0146) (1.35%)
11 Aug 2020 25 Sep 2020 OrdinaryDividend USD 0.0199 (SGD 0.0273) (2.54%)
[+] [-] 12 Feb 2020 27 Mar 2020 Grouped USD 0.0145 (SGD 0.0201) (1.39%)
12 Feb 2020 27 Mar 2020 OrdinaryDividend USD 0.0045 (SGD 0.0062) (0.43%)
12 Feb 2020 27 Mar 2020 OrdinaryDividend USD 0.01 (SGD 0.0139) (0.96%)
[+] [-] 26 Sep 2019 29 Nov 2019 Grouped USD 0.0147 (SGD 0.0203) (1.61%)
26 Sep 2019 29 Nov 2019 OrdinaryDividend USD 0.0047 (SGD 0.0065) (0.51%)
26 Sep 2019 29 Nov 2019 OrdinaryDividend USD 0.01 (SGD 0.0138) (1.09%)
[+] [-] 20 Aug 2019 27 Sep 2019 Grouped USD 0.009 (SGD 0.0125) (0.99%)
20 Aug 2019 27 Sep 2019 OrdinaryDividend USD 0.0037 (SGD 0.0051) (0.41%)
20 Aug 2019 27 Sep 2019 OrdinaryDividend USD 0.0053 (SGD 0.0073) (0.59%)
[+] [-] 7 May 2019 30 Jul 2019 Grouped USD 0.0214 (SGD 0.0292) (2.46%)
7 May 2019 30 Jul 2019 OrdinaryDividend USD 0.0093 (SGD 0.0127) (1.07%)
7 May 2019 30 Jul 2019 OrdinaryDividend USD 0.0121 (SGD 0.0165) (1.39%)
[+] [-] 18 Feb 2019 29 Mar 2019 Grouped USD 0.0304 (SGD 0.0412) (3.49%)
18 Feb 2019 29 Mar 2019 OrdinaryDividend USD 0.0127 (SGD 0.0172) (1.46%)
18 Feb 2019 29 Mar 2019 OrdinaryDividend USD 0.0177 (SGD 0.024) (2.03%)
[+] [-] 13 Aug 2018 27 Sep 2018 Grouped USD 0.0253 (SGD 0.0348) (2.92%)
13 Aug 2018 27 Sep 2018 OrdinaryDividend USD 0.0125 (SGD 0.0172) (1.45%)
13 Aug 2018 27 Sep 2018 CapitalDistribution USD 0.0128 (SGD 0.0176) (1.48%)
[+] [-] 12 Feb 2018 29 Mar 2018 Grouped USD 0.0257 (SGD 0.0341) (2.75%)
12 Feb 2018 29 Mar 2018 OrdinaryDividend USD 0.0122 (SGD 0.0162) (1.30%)
12 Feb 2018 29 Mar 2018 OrdinaryDividend USD 0.0135 (SGD 0.0179) (1.44%)
[+] [-] 23 Jun 2017 31 Aug 2017 Grouped USD 0.032 (SGD 0.0444) (3.52%)
23 Jun 2017 31 Aug 2017 OrdinaryDividend USD 0.0154 (SGD 0.0214) (1.69%)
23 Jun 2017 31 Aug 2017 OrdinaryDividend USD 0.0166 (SGD 0.023) (1.82%)
[+] [-] 17 Feb 2017 30 Mar 2017 Grouped USD 0.0355 (SGD 0.0503) (4.10%)
17 Feb 2017 30 Mar 2017 OrdinaryDividend USD 0.0163 (SGD 0.0231) (1.88%)
17 Feb 2017 30 Mar 2017 OrdinaryDividend USD 0.0192 (SGD 0.0272) (2.22%)

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