Fuji Corporation(FMMFF) USD 16.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.88%USD 0.301USD0.3012023-03-30
20223.52%USD 0.563USD0.2782022-09-29
USD0.2852022-03-30
20212.82%USD 0.451USD0.2692021-09-29
USD0.1822021-03-30
2020188.27%USD 30.142USD0.1422020-09-29
USD302020-03-30
201932.39%USD 5.185USD0.1852019-09-27
USD52019-03-27
2018127.49%USD 20.411USD202018-09-28
USD0.2212018-09-26
USD0.192018-03-28
20171.96%USD 0.313USD0.1782017-09-27
USD0.1352017-03-29
201694.46%USD 15.123USD152016-09-28
USD0.1232016-03-29
20151.56%USD 0.25USD0.1162015-09-28
USD0.1342015-03-27
20140.83%USD 0.133USD0.0742014-09-26
USD0.0592014-03-27
201324.98%USD 4USD42013-09-26