HSBC MSCI Europe UCITS ETF
Sector:
Unknown,
Industry:
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ExDate |
Payable Date |
Type |
Amount (%)
|
1 Feb 2025 |
21 Feb 2025 |
Projected |
GBP 0.09733 (0.63%) |
3 Aug 2024 |
23 Aug 2024 |
Projected |
GBP 0.29969 (1.93%) |
1 Feb 2024
|
22 Feb 2024
|
CASH |
GBP 0.09733 (0.68%) |
3 Aug 2023
|
25 Aug 2023
|
CASH |
GBP 0.29969 (2.17%) |
2 Feb 2023
|
24 Feb 2023
|
CASH |
GBP 0.10153 (0.74%) |
28 Jul 2022
|
19 Aug 2022
|
CASH |
GBP 0.26967 (2.15%) |
27 Jan 2022
|
18 Feb 2022
|
CASH |
GBP 0.1009 (0.76%) |
22 Jul 2021
|
13 Aug 2021
|
CASH |
GBP 0.21936 (1.64%) |
28 Jan 2021
|
18 Feb 2021
|
CASH |
GBP 0.07996 (0.66%) |
23 Jul 2020
|
14 Aug 2020
|
CASH |
GBP 0.1725 (1.48%) |
23 Jan 2020
|
13 Feb 2020
|
CASH |
GBP 0.08596 (0.70%) |
1 Aug 2019
|
22 Aug 2019
|
CASH |
GBP 0.294 (2.40%) |
31 Jan 2019
|
22 Feb 2019
|
CASH |
GBP 0.08121 (0.76%) |
2 Aug 2018
|
20 Aug 2018
|
CASH |
GBP 0.26553 (2.20%) |
1 Feb 2018
|
23 Feb 2018
|
CASH |
GBP 0.07761 (0.65%) |
3 Aug 2017
|
25 Aug 2017
|
CASH |
GBP 0.25815 (2.18%) |
2 Feb 2017
|
24 Feb 2017
|
CASH |
GBP 0.07062 (0.66%) |
4 Aug 2016
|
26 Aug 2016
|
CASH |
GBP 0.23736 (2.42%) |
4 Feb 2016
|
26 Feb 2016
|
CASH |
GBP 0.06083 (0.71%) |
31 Jul 2015
|
20 Aug 2015*
|
CASH |
GBP 0.19286 (2.03%) |
30 Jul 2015
|
21 Aug 2015
|
CASH |
GBP 0.2452 (2.53%) |
29 Jan 2015
|
20 Feb 2015
|
CASH |
GBP 0.05016 (0.53%) |
30 Jul 2014
|
22 Aug 2014
|
CASH |
GBP 0.17943 (1.88%) |
29 Jan 2014
|
21 Feb 2014
|
CASH |
GBP 0.06174 (0.67%) |
10 Jul 2013
|
2 Aug 2013
|
CASH |
GBP 0.19272 (2.15%) |
9 Jan 2013
|
1 Feb 2013
|
CASH |
GBP 0.0554 (0.68%) |
11 Jul 2012
|
3 Aug 2012
|
CASH |
GBP 0.17192 (2.37%) |
11 Jan 2012
|
31 Jan 2012*
|
CASH |
GBP 0.05907 (0.81%) |
13 Jul 2011
|
2 Aug 2011*
|
CASH |
GBP 0.17936 (2.15%) |
12 Jan 2011
|
1 Feb 2011*
|
CASH |
GBP 0.04676 (0.58%) |
21 Jul 2010
|
10 Aug 2010*
|
CASH |
GBP 0.01424 (0.20%) |
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate