Morningstar Aandelenrapport

東京海上ホールディングス株式会社 8766

Historische dividenden
Declaratie datumEx-DatumBetaaldatumTypeValutaBedrag
19/05/202328/03/2024-Contant dividendCurrencyCode_JPY60,50
19/05/202328/09/202304/12/2023Contant dividendCurrencyCode_JPY60,50
20/05/202230/03/202327/06/2023Contant dividendCurrencyCode_JPY50,00
20/05/202229/09/202212/12/2022Contant dividendCurrencyCode_JPY50,00
20/05/202130/03/202228/06/2022Contant dividendCurrencyCode_JPY45,00
20/05/202129/09/202113/12/2021Contant dividendCurrencyCode_JPY40,00
20/05/202030/03/2021-Contant dividendCurrencyCode_JPY33,33
20/05/202029/09/202011/12/2020Contant dividendCurrencyCode_JPY33,33
20/09/202029/09/202011/12/2020Speciaal contant dividendCurrencyCode_JPY11,67
20/05/201930/03/202030/06/2020Contant dividendCurrencyCode_JPY31,67
20/05/201927/09/201906/12/2019Contant dividendCurrencyCode_JPY31,67
26/09/201927/09/201906/12/2019Speciaal contant dividendCurrencyCode_JPY11,67
18/05/201827/03/201925/06/2019Contant dividendCurrencyCode_JPY30,00
18/05/201826/09/201811/12/2018Contant dividendCurrencyCode_JPY30,00
19/09/201826/09/201811/12/2018Speciaal contant dividendCurrencyCode_JPY23,33
19/05/201728/03/201826/06/2018Contant dividendCurrencyCode_JPY26,67
16/06/201727/09/201701/12/2017Contant dividendCurrencyCode_JPY26,67
21/11/201629/03/201727/06/2017Contant dividendCurrencyCode_JPY24,17
14/06/201628/09/201602/12/2016Contant dividendCurrencyCode_JPY22,50
19/11/201529/03/201628/06/2016Contant dividendCurrencyCode_JPY19,17
01/09/201528/09/201502/12/2015Contant dividendCurrencyCode_JPY17,50
12/03/201527/03/201530/06/2015Contant dividendCurrencyCode_JPY18,33
11/09/201426/09/201410/12/2014Contant dividendCurrencyCode_JPY13,33
11/03/201427/03/201424/06/2014Contant dividendCurrencyCode_JPY13,33
20/05/201326/09/2013-Contant dividendCurrencyCode_JPY10,00
18/05/201227/03/201325/06/2013Contant dividendCurrencyCode_JPY9,17
18/05/201226/09/201204/12/2012Contant dividendCurrencyCode_JPY9,17
19/05/201128/03/201226/06/2012Contant dividendCurrencyCode_JPY8,33
19/05/201128/09/201106/12/2011Contant dividendCurrencyCode_JPY8,33
20/05/201029/03/201128/06/2011Contant dividendCurrencyCode_JPY8,33
20/05/201028/09/201007/12/2010Contant dividendCurrencyCode_JPY8,33
14/03/201029/03/201029/06/2010Contant dividendCurrencyCode_JPY8,67
10/09/200925/09/200908/12/2009Contant dividendCurrencyCode_JPY8,00
11/03/200926/03/200930/06/2009Contant dividendCurrencyCode_JPY8,00
10/09/200825/09/200810/12/2008Contant dividendCurrencyCode_JPY8,00
11/03/200826/03/200824/06/2008Contant dividendCurrencyCode_JPY10,00
10/09/200725/09/200710/12/2007Contant dividendCurrencyCode_JPY6,00
12/03/200727/03/200726/06/2007Contant dividendCurrencyCode_JPY7,00
11/09/200626/09/200611/12/2006Contant dividendCurrencyCode_JPY0,01
13/03/200628/03/200629/06/2006Contant dividendCurrencyCode_JPY10,00
13/03/200528/03/200529/06/2005Contant dividendCurrencyCode_JPY7,33
11/03/200426/03/200430/06/2004Contant dividendCurrencyCode_JPY7,33
11/03/200326/03/200330/06/2003Contant dividendCurrencyCode_JPY6,67
Aandelensplitsingen
Ex-DatumGesplitst vanGesplitst naarAanpassingsfractor
29/09/20221,00003,00003,00
29/09/20061,0000500,0000500,00
27/03/1990--1,05
28/03/1988--1,05
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