United Corporations Limited(UCPLF) USD 75.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.59%USD 0.449USD0.2232023-05-02
USD0.22552023-02-02
20225.85%USD 4.416USD0.22012022-11-02
USD0.23342022-08-02
USD3.49282022-06-28
USD0.2332022-05-02
USD0.2372022-02-02
20212.48%USD 1.872USD0.2432021-11-02
USD0.2392021-08-04
USD0.9132021-06-14
USD0.2442021-05-04
USD0.2332021-02-02
20202.24%USD 1.691USD0.2272020-11-03
USD0.2252020-08-05
USD0.82020-06-12
USD0.2132020-05-04
USD0.2262020-02-04
20192.23%USD 1.682USD0.2282019-11-04
USD0.22252019-08-05
USD0.7872019-06-13
USD0.2232019-05-02
USD0.22132019-02-04
20182.04%USD 1.539USD0.2292018-11-02
USD0.2312018-08-02
USD0.6012018-06-14
USD0.2332018-05-02
USD0.2452018-02-02
20172.23%USD 1.686USD0.2342017-11-03
USD0.2392017-08-02
USD0.8412017-06-13
USD0.2192017-05-02
USD0.1532017-02-02
20162.16%USD 1.63USD0.1492016-11-02
USD0.13792016-08-03
USD1.042016-06-13
USD0.162016-05-03
USD0.1432016-02-02
20151.93%USD 1.458USD0.1532015-11-03
USD0.1522015-08-05
USD0.8162015-06-11
USD0.1652015-05-05
USD0.1722015-02-03
20141.84%USD 1.392USD0.1762014-11-04
USD0.1832014-08-05
USD0.672014-06-11
USD0.1832014-05-02
USD0.182014-02-04
20131.65%USD 1.244USD0.16722013-11-04
USD0.16762013-08-02
USD0.56582013-06-12
USD0.17072013-05-02
USD0.17232013-02-04
20121.65%USD 1.243USD0.17252012-11-01
USD0.17182012-08-01
USD0.55582012-06-13
USD0.17262012-05-01
USD0.17022012-02-01
20110.92%USD 0.696USD0.16772011-11-02
USD0.17732011-08-02
USD0.17892011-05-02
USD0.17182011-02-02
20100.88%USD 0.661USD0.16812010-11-02
USD0.16612010-08-03
USD0.16762010-05-03
USD0.15932010-02-01
20090.90%USD 0.679USD0.16982009-11-03
USD0.16982009-07-31
USD0.16982009-05-01
USD0.16982009-02-02
20080.90%USD 0.679USD0.16982008-11-03
USD0.16982008-08-01
USD0.16982008-05-01
USD0.16982008-02-04
20070.90%USD 0.679USD0.16982007-11-02
USD0.16982007-08-02
USD0.16982007-05-02
USD0.16982007-01-31
20060.90%USD 0.679USD0.16982006-11-01
USD0.16982006-08-01
USD0.16982006-05-03
USD0.16982006-02-03
20050.90%USD 0.679USD0.16982005-11-03
USD0.16982005-08-04
USD0.16982005-05-04
USD0.16982005-02-03
20040.90%USD 0.679USD0.16982004-11-03
USD0.16982004-08-04
USD0.16982004-05-04
USD0.16982004-02-03
20030.90%USD 0.679USD0.16982003-10-30
USD0.16982003-07-30
USD0.16982003-05-01
USD0.16982003-01-30
20021.12%USD 0.849USD0.16982002-10-30
USD0.16982002-07-30
USD0.16982002-04-29
USD0.16982002-03-14
USD0.16982002-01-30
20010.45%USD 0.34USD0.16982001-10-30
USD0.16982001-07-30