Euronav NV(EURN) USD 18.29
Dividend Yield(TTM) =0.16%
Year Yield Total Amount Ex Date
20230.33%USD 0.06USD0.032023-06-01
USD0.032023-02-21
20220.66%USD 0.12USD0.032022-11-21
USD0.032022-08-30
USD0.062022-06-01
20210.66%USD 0.12USD0.032021-11-22
USD0.032021-08-30
USD0.032021-05-20
USD0.032021-02-24
20209.08%USD 1.66USD0.092020-11-19
USD0.472020-08-18
USD0.812020-06-15
USD0.292020-05-28
20190.66%USD 0.12USD0.062019-09-26
USD0.062019-05-15
20180.66%USD 0.12USD0.062018-09-26
USD0.062018-05-14
20171.53%USD 0.28USD0.062017-09-25
USD0.222017-05-22
20167.49%USD 1.37USD0.552016-09-20
USD0.822016-05-17
20154.76%USD 0.87USD0.622015-09-09
USD0.252015-05-18