LSE:HTWN - HSBC ETFs Public Limited Company - HSBC MSCI Taiwan UCITS ETF HSBC ETFs Public Limited Compa
Sector: Unknown, Industry: Unknown
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Summary


ExDate Payable Date Type Amount (%)
1 Feb 2025 21 Feb 2025 Projected GBP 0.00521 (0.01%)
3 Aug 2024 23 Aug 2024 Projected GBP 0.00553 (0.01%)
1 Feb 2024 21 Feb 2024* CASH GBP 0.00521 (0.01%)
3 Aug 2023 23 Aug 2023* CASH GBP 0.00553 (0.01%)
2 Feb 2023 22 Feb 2023* CASH GBP 0.0086 (0.02%)
28 Jul 2022 17 Aug 2022* CASH GBP 0.00511 (0.01%)
20 Jan 2022 9 Feb 2022* CASH GBP 0.00796 (0.01%)
22 Jul 2021 11 Aug 2021* CASH GBP 0.00049 (0.0%)
28 Jan 2021 17 Feb 2021* CASH GBP 0.00568 (0.01%)
23 Jul 2020 12 Aug 2020* CASH GBP 0.00125 (0.0%)
6 Feb 2020 26 Feb 2020* CASH GBP 0.00652 (0.02%)
25 Jul 2019 14 Aug 2019* CASH GBP 0.00203 (0.01%)
24 Jan 2019 13 Feb 2019* CASH GBP 0.00516 (0.02%)
26 Jul 2018 15 Aug 2018* CASH GBP 0.00201 (0.01%)
25 Jan 2018 14 Feb 2018* CASH GBP 0.00483 (0.02%)
27 Jul 2017 16 Aug 2017* CASH GBP 0.00156 (0.01%)
9 Feb 2017 1 Mar 2017* CASH GBP 0.00421 (0.02%)
28 Jul 2016 17 Aug 2016* CASH GBP 0.00187 (0.01%)
28 Jan 2016 17 Feb 2016* CASH GBP 0.00392 (0.02%)
23 Jul 2015 12 Aug 2015* CASH GBP 0.0011 (0.01%)
22 Jan 2015 11 Feb 2015* CASH GBP 0.00359 (0.02%)
23 Jul 2014 12 Aug 2014* CASH GBP 0.00009 (0.0%)
22 Jan 2014 11 Feb 2014* CASH GBP 0.00246 (0.01%)
23 Jan 2013 12 Feb 2013* CASH GBP 0.00355 (0.02%)
27 Jul 2012 16 Aug 2012* CASH GBP 0.00437 (0.03%)
1 Feb 2012 21 Feb 2012* CASH GBP 0.00433 (0.03%)
27 Jul 2011 16 Aug 2011* CASH GBP 0.00074 (0.0%)
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate

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