Fujitsu Limited(FJTSF) USD 132.24
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.68%USD 0.904USD0.90422023-03-30
20221.31%USD 1.733USD0.83072022-09-29
USD0.9022022-03-30
20211.43%USD 1.891USD0.98362021-09-29
USD0.90752021-03-30
20201.42%USD 1.872USD0.94622020-09-29
USD0.92542020-03-30
20191.11%USD 1.465USD0.74032019-09-27
USD0.72472019-03-27
20186.19%USD 8.184USD72018-09-28
USD0.622018-09-26
USD0.5642018-03-28
20170.68%USD 0.893USD0.4432017-09-27
USD0.452017-03-29
20163.29%USD 4.353USD42016-09-28
USD0.3532016-03-29
20150.51%USD 0.67USD0.3342015-09-28
USD0.3362015-03-27
20140.57%USD 0.758USD0.3662014-09-26
USD0.3922014-03-27
20127.56%USD 10USD52012-09-26
USD52012-03-28
20117.56%USD 10USD52011-09-28
USD52011-03-29
20107.56%USD 10USD52010-09-28
USD52010-03-29
20090.48%USD 0.638USD0.3342009-09-25
USD0.3042009-03-26
20080.74%USD 0.975USD0.472008-09-25
USD0.5052008-03-26
20070.39%USD 0.516USD0.2622007-09-25
USD0.2542007-03-27
20060.39%USD 0.514USD0.2572006-09-26
USD0.2572006-03-28
20050.41%USD 0.545USD0.2652005-09-27
USD0.282005-03-28
20040.42%USD 0.554USD0.2712004-09-27
USD0.2832004-03-26
20020.14%USD 0.187USD0.1872002-03-26
20010.16%USD 0.213USD0.2132001-09-25