iShares MSCI Taiwan UCITS(ITWN) EUR 61.38
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.04%EUR 0.028EUR0.027592023-03-16
20223.31%EUR 2.031EUR1.966182022-09-15
EUR0.064812022-03-17
20211.65%EUR 1.013EUR1.012882021-09-16
20201.67%EUR 1.023EUR0.967692020-09-17
EUR0.055142020-03-12
20191.67%EUR 1.028EUR1.027612019-09-12
20181.57%EUR 0.961EUR0.961412018-09-13
20171.69%EUR 1.037EUR0.988672017-09-14
EUR0.048532017-03-16
20161.64%EUR 1.008EUR0.850592016-09-15
EUR0.157812016-03-10
20151.54%EUR 0.948EUR0.731222015-08-27
EUR0.216612015-02-26
20140.69%EUR 0.422EUR0.370572014-08-20
EUR0.051582014-02-26
20130.91%EUR 0.559EUR0.393542013-08-28
EUR0.165672013-02-20
20120.91%EUR 0.556EUR0.479092012-08-22
EUR0.077182012-02-22
20111.33%EUR 0.819EUR0.668542011-08-24
EUR0.150562011-02-23
20100.73%EUR 0.45EUR0.450152010-08-25
20090.75%EUR 0.458EUR0.296742009-08-26
EUR0.16142009-02-25
20080.96%EUR 0.588EUR0.588482008-08-27
20070.89%EUR 0.546EUR0.546252007-08-29
20060.75%EUR 0.459EUR0.459422006-08-30