Euronav NV(0K9A) EUR 16.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.17%EUR 0.028EUR0.028082023-02-21
20220.70%EUR 0.116EUR0.02932022-11-21
EUR0.030032022-08-30
EUR0.056252022-06-01
20210.43%EUR 0.071EUR0.018672021-11-22
EUR0.01782021-08-30
EUR0.017192021-05-20
EUR0.017322021-02-24
20206.16%EUR 1.016EUR0.053212020-11-19
EUR0.2762020-08-18
EUR0.50292020-06-15
EUR0.183622020-05-28
20190.46%EUR 0.076EUR0.038392019-09-26
EUR0.037482019-05-15
20180.43%EUR 0.071EUR0.035752018-09-26
EUR0.035092018-05-14
20171.04%EUR 0.172EUR0.035392017-09-25
EUR0.136912017-05-22
20165.40%EUR 0.891EUR0.360092016-09-20
EUR0.530722016-05-17
20153.13%EUR 0.517EUR0.34882015-09-09
EUR0.16772015-05-18
20100.45%EUR 0.075EUR0.0752010-08-31
20090.53%EUR 0.087EUR0.0752009-09-02
0.0122009-04-29
20080.08%EUR 0.0140.00752008-09-05
0.0062008-05-09