Suq tal-Borża, Boroż illum
Kwotazzjonijiet ta 'stokks ta' 71229 kumpanija fil-ħin reali.
Suq tal-Borża, Boroż illum

Kwotazzjonijiet ta 'stokks

Stock kwotazzjonijiet online

Istokk kwotazzjonijiet istorja

Kapitalizzazzjoni tas-suq tal-ishma

Dividendi fl-Istokks

Profitt minn ishma tal-kumpanija

Rapporti finanzjarji

Klassifikazzjoni tal-ishma tal-kumpaniji. Fejn tinvesti l-flus?

Dividendi DNP Select Income Fund Inc.

Dati tal-ħlas tad-dividendi fuq ishma ta ’l-DNP, storja ta’ dividendi ta ’DNP Select Income Fund Inc. skond is-snin, rendiment tad-dividend ta’ ishma ta ’DNP Select Income Fund Inc. fl-2024. DNP Select Income Fund Inc. iħallas dividendi? Liema dividend tħallas DNP Select Income Fund Inc.?
Żid mal-widgets
Miżjud ma 'widgets

Meta jħallas is-DNP Select Income Fund Inc. dividendi?

DNP Select Income Fund Inc. iħallas id-dividendi lil 12 darbiet fis-sena, l-aħħar ħlas ta ’dividendi fuq ishma ta’ l-DNP kien 29/07/2021.

Liema dividend tħallas DNP Select Income Fund Inc.?

L-aħħar darba l-kumpanija DNP Select Income Fund Inc. ħallset 0.065 $ dividendi għal kull sehem u r-rendiment tad-dividend annwali kien ta '7.3 %.

Meta hi d-data tal-ħlas tad-dividend li jmiss DNP Select Income Fund Inc.?

Il-ħlas tad-dividend li jmiss fuq ishma ta ’DNP Select Income Fund Inc. huwa mistenni fl-Awissu 2024.

Dividendi DNP Select Income Fund Inc. huwa servizz onlajn tal-proġett allstockstoday.com, li juri l-informazzjoni kollha dwar id-dividendi ta 'DNP Select Income Fund Inc.. Dividendi fuq ishma ta 'DNP Select Income Fund Inc. - id-dħul ewlieni, li juri l-effikaċja li tinvesti flus f'ishma ta' din il-kumpanija. Id-dati u l-ammonti tal-ħlasijiet ta ’dividendi huma stabbiliti mill-kumpanija. It-tbassir tal-ħlas tad-dividendi huwa x-xejra ewlenija għall-bidla fil-valur tal-ishma. DNP Select Income Fund Inc. dividendi, l-istorja tal-ħlas li tista 'tara fis-servizz tagħna fil-forma ta' dijagramma għall-aħħar ftit ħlasijiet.

Uri:
Li

Dividendi DNP Select Income Fund Inc. storja ta 'ħlas

L-għoli tal-bar juri d-daqs tal-ammont tal-ħlasijiet tad-dividendi. It-tibdil fl-għoli tal-kolonni tat-tabella juri biċ-ċar il-bidla fl-ammont tal-ħlasijiet għall-aħħar dati. DNP Select Income Fund Inc. l-iskeda tad-dividendi hija disponibbli f'ħin reali. DNP Select Income Fund Inc. l-iskeda tal-ħlas tad-dividendi ġiet ippreżentata għall-aħħar 2-3 snin.

Dati tal-ħlas tad-dividendi DNP Select Income Fund Inc.

Id-dati tal-ħlas tad-dividendi jinġabru fit-tabella online tagħna. It-tabella tal-ħlas tad-dividendi hija sempliċi: kull data tal-ħlas tidher bħala linja separata. L-aħħar data tal-ħlas tad-dividendi DNP Select Income Fund Inc. tinsab fl-ewwel linja tat-tabella. Tista 'tara d-daqs ta' dividendi ta 'DNP Select Income Fund Inc. għad-data meħtieġa fit-tieni kolonna tat-tabella ta' dividendi.

Data tal-ħlas tad-dividendi fuq ishma tal-DNP Ammont ta 'ħlas
L-ammont ta 'pagamenti għal kull sehem.
Dividend rendiment
Rendiment tad-dividendi huwa l-proporzjon tal-ammont ta 'dividendi mħallsa għal kull sehem kull sena għall-valur ta' sehem wieħed.
29/07/2021 0.065 USD 7.3%
29/06/2021 0.065 USD 7.41%
27/05/2021 0.065 USD 7.5%
29/04/2021 0.065 USD 7.62%
30/03/2021 0.065 USD 7.93%
25/02/2021 0.065 USD 7.42%
28/01/2021 0.065 USD 7.52%
30/12/2020 0.065 USD 7.61%
27/11/2020 0.065 USD 7.44%
29/10/2020 0.065 USD 7.74%
29/09/2020 0.065 USD 7.75%
28/08/2020 0.065 USD 7.65%
30/07/2020 0.065 USD 0.6%
29/06/2020 0.065 USD 0.59%
28/05/2020 0.065 USD 0.64%
29/04/2020 0.065 USD 0.72%
30/03/2020 0.065 USD 0.82%
27/02/2020 0.065 USD 0.58%
30/01/2020 0.065 USD 0.51%
30/12/2019 0.065 USD 6.08%
27/11/2019 0.065 USD 6.11%
30/10/2019 0.065 USD 6.11%
27/09/2019 0.065 USD 6.03%
29/08/2019 0.065 USD 6.22%
30/07/2019 0.065 USD 6.47%
27/06/2019 0.065 USD 6.62%
30/05/2019 0.065 USD 6.78%
29/04/2019 0.065 USD 6.74%
28/03/2019 0.065 USD 6.74%
27/02/2019 0.065 USD 6.94%
30/01/2019 0.065 USD 7.05%
28/12/2018 0.065 USD 7.48%
29/11/2018 0.065 USD 7.15%
30/10/2018 0.065 USD 7.16%
27/09/2018 0.065 USD 7.2%
30/08/2018 0.065 USD 7.07%
30/07/2018 0.065 USD 7.12%
28/06/2018 0.065 USD 7.24%
30/05/2018 0.065 USD 7.05%
27/04/2018 0.065 USD 7.17%
28/03/2018 0.065 USD 7.59%
27/02/2018 0.065 USD 7.76%
30/01/2018 0.065 USD 7.45%
28/12/2017 0.065 USD 7.22%
29/11/2017 0.065 USD 6.9%
30/10/2017 0.065 USD 6.93%
28/09/2017 0.065 USD 6.79%
29/08/2017 0.065 USD 6.86%
27/07/2017 0.065 USD 6.86%
28/06/2017 0.065 USD 7.08%
26/05/2017 0.065 USD 7.04%
26/04/2017 0.065 USD 7.1%
29/03/2017 0.065 USD 7.22%
24/02/2017 0.065 USD 7.31%
27/01/2017 0.065 USD 7.37%
28/12/2016 0.065 USD 7.62%
28/11/2016 0.065 USD 7.77%
27/10/2016 0.065 USD 7.73%
28/09/2016 0.065 USD 7.6%
29/08/2016 0.065 USD 7.39%
27/07/2016 0.065 USD 7.34%
28/06/2016 0.065 USD 7.34%
26/05/2016 0.065 USD 7.62%
27/04/2016 0.065 USD 7.76%
29/03/2016 0.065 USD 7.8%
25/02/2016 0.065 USD 7.98%
27/01/2016 0.065 USD 8.34%
29/12/2015 0.065 USD 8.71%
25/11/2015 0.065 USD 8.27%
28/10/2015 0.065 USD 7.98%
28/09/2015 0.065 USD 8.1%
27/08/2015 0.065 USD 7.98%
29/07/2015 0.065 USD 7.65%
26/06/2015 0.065 USD 7.72%
27/05/2015 0.065 USD 7.23%
28/04/2015 0.065 USD 7.3%
27/03/2015 0.065 USD 7.43%
25/02/2015 0.065 USD 7.37%
28/01/2015 0.065 USD 7.41%
29/12/2014 0.065 USD 7.39%
25/11/2014 0.065 USD 7.37%
29/10/2014 0.065 USD 7.45%
26/09/2014 0.065 USD 7.72%
27/08/2014 0.065 USD 7.54%
29/07/2014 0.065 USD 7.68%
26/06/2014 0.065 USD 7.42%
28/05/2014 0.065 USD 7.68%
28/04/2014 0.065 USD 7.85%
27/03/2014 0.065 USD 7.96%
26/02/2014 0.065 USD 8.02%
29/01/2014 0.065 USD 8.17%
27/12/2013 0.065 USD 8.28%
26/11/2013 0.065 USD 8.08%
29/10/2013 0.065 USD 8.04%
26/09/2013 0.065 USD 8.12%
28/08/2013 0.065 USD 7.9%
29/07/2013 0.065 USD 7.76%
26/06/2013 0.065 USD 7.94%
29/05/2013 0.065 USD 7.82%
26/04/2013 0.065 USD 7.44%
26/03/2013 0.065 USD 7.69%
26/02/2013 0.065 USD 7.74%
29/01/2013 0.065 USD 7.82%
27/12/2012 0.065 USD 8.24%
28/11/2012 0.065 USD 8.25%
31/10/2012 0.065 USD 7.78%
24/09/2012 0.065 USD 7.91%
29/08/2012 0.065 USD 7.42%
27/07/2012 0.065 USD 6.98%
27/06/2012 0.065 USD 7.01%
29/05/2012 0.065 USD 7.23%
26/04/2012 0.065 USD 7.22%
28/03/2012 0.065 USD 7.72%
27/02/2012 0.065 USD 6.88%
27/01/2012 0.065 USD 7%
28/12/2011 0.065 USD 7.14%
28/11/2011 0.065 USD 7.26%
27/10/2011 0.065 USD 7.39%
28/09/2011 0.065 USD 7.8%
29/08/2011 0.065 USD 7.88%
27/07/2011 0.065 USD 7.9%
28/06/2011 0.065 USD 7.8%
26/05/2011 0.065 USD 7.82%
27/04/2011 0.065 USD 8.02%
29/03/2011 0.065 USD 8.21%
24/02/2011 0.065 USD 8.25%
27/01/2011 0.065 USD 8.2%
29/12/2010 0.065 USD 8.53%
26/11/2010 0.065 USD 7.84%
27/10/2010 0.065 USD 7.85%
28/09/2010 0.065 USD 7.95%
27/08/2010 0.065 USD 8.29%
28/07/2010 0.065 USD 8.3%
28/06/2010 0.065 USD 8.7%
26/05/2010 0.065 USD 8.8%
28/04/2010 0.065 USD 8.45%
29/03/2010 0.065 USD 8.41%
24/02/2010 0.065 USD 8.5%
27/01/2010 0.065 USD 8.71%
29/12/2009 0.065 USD 8.72%
25/11/2009 0.065 USD 9.02%
28/10/2009 0.065 USD 9.06%
28/09/2009 0.065 USD 8.74%
27/08/2009 0.065 USD 8.8%
29/07/2009 0.065 USD 8.82%
26/06/2009 0.065 USD 9.76%
27/05/2009 0.065 USD 9.96%
28/04/2009 0.065 USD 11.03%
27/03/2009 0.065 USD 11.47%
25/02/2009 0.065 USD 11.5%
28/01/2009 0.065 USD 9.58%
29/12/2008 0.065 USD 12.68%
25/11/2008 0.065 USD 10.73%
29/10/2008 0.065 USD 9.79%
26/09/2008 0.065 USD 8.33%
27/08/2008 0.065 USD 7.12%
29/07/2008 0.065 USD 7.3%
26/06/2008 0.065 USD 7.48%
28/05/2008 0.065 USD 7%
28/04/2008 0.065 USD 7.1%
27/03/2008 0.065 USD 7.16%
27/02/2008 0.065 USD 7.04%
29/01/2008 0.065 USD 7.15%
27/12/2007 0.065 USD 7.37%
28/11/2007 0.065 USD 7.37%
29/10/2007 0.065 USD 7.25%
26/09/2007 0.065 USD 7.2%
29/08/2007 0.065 USD 7.41%
27/07/2007 0.065 USD 7.28%
27/06/2007 0.065 USD 7.17%
29/05/2007 0.065 USD 7%
26/04/2007 0.065 USD 6.92%
28/03/2007 0.065 USD 6.93%
26/02/2007 0.065 USD 7.03%
29/01/2007 0.065 USD 7.22%
27/12/2006 0.065 USD 4.21%
28/11/2006 0.065 USD 4.17%
27/10/2006 0.065 USD 4.16%
27/09/2006 0.065 USD 4.25%
29/08/2006 0.065 USD 4.28%
27/07/2006 0.065 USD 4.36%
28/06/2006 0.065 USD 4.46%

L-ammont ta 'dividend ta' DNP Select Income Fund Inc. jingħata għal kull sehem tal-kumpanija. DNP Select Income Fund Inc. il-ħlas ta 'dividend għal kull sehem jintwera f'dollari. Rendiment tad-dividendi DNP Select Income Fund Inc. - ammont stmat daqs il-proporzjon ta 'l-ammont ta' dividendi mħallsa għal sena mal-valur ta 'sehem wieħed ta' DNP Select Income Fund Inc. għal perijodu ta 'saldu. Ir-rendiment tad-dividendi fuq l-ishma DNP Select Income Fund Inc. huwa 7.3 % illum.

Ir-rendiment tad-dividendi huwa indikatur importanti għal investitur flimkien ma 'bidla fil-valur tal-prezz tal-istokk. Ir-rendiment tad-dividendi ta 'DNP Select Income Fund Inc. is-sena l-oħra u l-istorja tar-rendiment tad-dividendi għal snin oħra ftit snin ilu hija informazzjoni importanti ħafna għall-valutazzjoni tal-kwalità ta' l-investiment fl-ishma ta 'din il-kumpanija. L-istorja tar-rendiment tad-dividendi għall-aħħar 20 pagament tidher fit-tabella DNP Select Income Fund Inc.. Fl-ewwel ringiela tat-tabella bir-rendiment tad-dividend ta 'l-organizzazzjoni, DNP Select Income Fund Inc. juri l-aktar.

L-ispiża tal-ishma DNP Select Income Fund Inc.

Finanzi DNP Select Income Fund Inc.