UBS ETF SICAV - MSCI Emerging
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ExDate |
Payable Date |
Type |
Amount (%)
|
1 Feb 2025 |
21 Feb 2025 |
Projected |
GBP 0.07861 (0.75%) |
8 Aug 2024 |
28 Aug 2024 |
Projected |
GBP 0.13945 (1.34%) |
1 Feb 2024
|
21 Feb 2024*
|
CASH |
GBP 0.07861 (0.83%) |
8 Aug 2023
|
28 Aug 2023*
|
CASH |
GBP 0.13945 (1.38%) |
1 Feb 2023
|
21 Feb 2023*
|
CASH |
GBP 0.09809 (0.92%) |
1 Aug 2022
|
21 Aug 2022*
|
CASH |
GBP 0.10772 (1.02%) |
28 Jan 2022
|
17 Feb 2022*
|
CASH |
GBP 0.10064 (0.90%) |
2 Aug 2021
|
22 Aug 2021*
|
CASH |
GBP 0.08116 (0.69%) |
1 Feb 2021
|
21 Feb 2021*
|
CASH |
GBP 0.07597 (0.63%) |
3 Aug 2020
|
23 Aug 2020*
|
CASH |
GBP 0.07843 (0.82%) |
3 Feb 2020
|
23 Feb 2020*
|
CASH |
GBP 0.1344 (1.35%) |
31 Jul 2019
|
20 Aug 2019*
|
CASH |
GBP 0.10797 (0.97%) |
31 Jan 2019
|
20 Feb 2019*
|
CASH |
GBP 0.11623 (1.12%) |
31 Jul 2018
|
20 Aug 2018*
|
CASH |
GBP 0.11161 (1.06%) |
31 Jan 2018
|
20 Feb 2018*
|
CASH |
GBP 0.10288 (0.92%) |
31 Jul 2017
|
20 Aug 2017*
|
CASH |
GBP 0.08238 (0.79%) |
2 Feb 2017
|
22 Feb 2017*
|
CASH |
GBP 0.13462 (1.41%) |
29 Jul 2016
|
18 Aug 2016*
|
CASH |
GBP 0.09731 (1.06%) |
29 Jan 2016
|
18 Feb 2016*
|
CASH |
GBP 0.10328 (1.48%) |
30 Jul 2015
|
19 Aug 2015*
|
CASH |
GBP 0.08263 (1.06%) |
30 Jan 2015
|
19 Feb 2015*
|
CASH |
GBP 0.03196 (0.37%) |
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate