Taiwan Closed Fund(TWN) USD 27.1
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.26%USD 0.071USD0.07142023-03-22
202110.78%USD 2.923USD2.92272021-12-27
202012.22%USD 3.312USD3.31222020-12-28
20196.27%USD 1.699USD1.69912019-12-27
20186.30%USD 1.708USD1.70782018-12-20
20172.44%USD 0.66USD0.662017-12-28
20149.72%USD 2.633USD2.63322014-12-26
20112.07%USD 0.561USD0.560532011-12-28
20100.30%USD 0.081USD0.081482010-12-28
20090.26%USD 0.071USD0.070672009-12-29
20080.63%USD 0.17USD0.170192008-12-26
200711.78%USD 3.192USD3.192162007-12-20
20050.19%USD 0.052USD0.052332005-12-27
20040.11%USD 0.03USD0.030442004-12-27
20000.74%USD 0.2USD0.22000-12-27