Mirvac Group(MRVGF) USD 1.3201
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.80%USD 0.103USD0.0522022-12-29
USD0.0512022-06-29
20217.73%USD 0.102USD0.0512021-12-30
USD0.0512021-06-29
20205.91%USD 0.078USD0.0482020-12-30
USD0.032020-06-29
20199.39%USD 0.124USD0.0612019-12-30
USD0.0632019-06-27
20188.56%USD 0.113USD0.0532018-12-28
USD0.062018-06-28
20177.95%USD 0.105USD0.052017-12-28
USD0.0552017-06-29
20167.65%USD 0.101USD0.0492016-12-29
USD0.0522016-06-29
20157.27%USD 0.096USD0.0472015-12-29
USD0.0492015-06-26
20146.06%USD 0.08USD0.03672014-12-29
USD0.04332014-06-26
20136.13%USD 0.081USD0.03932013-12-23
USD0.04162013-06-24
20126.73%USD 0.089USD0.04382012-12-21
USD0.0242012-06-25
USD0.0212012-03-26
20116.33%USD 0.084USD0.02032011-12-22
USD0.01952011-09-26
USD0.02312011-06-24
USD0.02062011-03-25
20105.67%USD 0.075USD0.02012010-12-23
USD0.01922010-09-24
USD0.01742010-06-24
USD0.01822010-03-25
20093.18%USD 0.042USD0.022009-12-23
USD0.022009-09-24
USD0.0022009-06-24