Dividendenzahlungen |
| Titel |
Ex-Datum |
Zahldatum |
Bruttobetrag |
Northern Trust Corporation |
05.12.25 |
|
0.6858 € |
Northern Trust Corporation |
05.09.25 |
|
0.6858 € |
Northern Trust Corporation |
06.06.25 |
|
0.6430 € |
Northern Trust Corporation |
14.03.25 |
|
0.6430 € |
Northern Trust Corporation |
14.01.25 |
|
0.7500 € |
Northern Trust Corporation |
06.12.24 |
|
0.6430 € |
Northern Trust Corporation |
06.09.24 |
|
0.6430 € |
Northern Trust Corporation |
07.06.24 |
|
0.6430 € |
Northern Trust Corporation |
07.03.24 |
|
0.6430 € |
Northern Trust Corporation |
07.12.23 |
|
0.6430 € |
Northern Trust Corporation |
07.09.23 |
|
0.6430 € |
Northern Trust Corporation |
08.06.23 |
|
0.6430 € |
Northern Trust Corporation |
09.03.23 |
|
0.6430 € |
Northern Trust Corporation |
08.12.22 |
|
0.6430 € |
Northern Trust Corporation |
08.09.22 |
|
0.6430 € |
Northern Trust Corporation |
09.06.22 |
|
0.6001 € |
Northern Trust Corporation |
10.03.22 |
|
0.6001 € |
Northern Trust Corporation |
09.12.21 |
|
0.6001 € |
Northern Trust Corporation |
09.09.21 |
|
0.6001 € |
Northern Trust Corporation |
10.06.21 |
|
0.6001 € |
Northern Trust Corporation |
11.03.21 |
|
0.6001 € |