Dividendenkalender 20. Januar 2025

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Alle 73 Dividenden mit Zahltag am

WertpapierEx-TagZahltagDiv.%Betrag
Xcel Energy Inc
3,46 %0,55 $
DWS Invest Top Dividend LDM
6,04 %0,51 €
Tiger Brands Ltd
16,21 %6,84 ZAR
DWS Invest Global Infrastructure LDM
6,32 %0,55 €
FAT Brands Inc 8.25% PRF PERPETUAL USD 25 - Ser B
0,00 %0,17 $
Bird Construction Inc
1,06 %0,07 CA$
Transcontinental Inc - Class A
17,23 %0,23 CA$
CorEnergy Infrastructure Trust Inc
0,00 %0,52 $
Farmers & Merchants Bancorp Inc
2,78 %0,22 $
China Energy Engineering Corporation Ltd Shs -H- Unitary 144A/Reg S
3,54 %0,01 HK$
Pepkor Holdings Ltd
2,97 %0,49 ZAR
Adcorp Holdings Ltd
11,38 %0,13 ZAR
Brasilien, Föderative Republik 7,125% 06/37
6,95 %0,04 $
Astral Foods Ltd
12,38 %5,20 ZAR
Avic Shenyang Aircraft Co Ltd Class A
0,94 %0,14 CN¥
Helios Technologies Inc
0,70 %0,09 $
Inversiones Tricahue SA
7,57 %29 CLP
Capitania Securities II Fundo de Investimento Imobiliario
14,50 %0,08 R$
John Deere Capital Corp. 4,75% 23/28
4,76 %0,02 $
Swisscanto (CH) Index Fund III - Swisscanto (CH) Index Equity Fund MSCI World ex CH FA
0,91 %3,80 $
Valora Re Iii Fundo DE Investimento Imobiliario
17,68 %0,11 R$
ASKUL Corp
0,81 %19 ¥
Fundo DE Investimento Imobiliario Maua Capital Recebiveis Imobiliarios
12,71 %0,80 R$
Janus Henderson Horizon Global High Yield Bond Fund A3q HEUR
6,92 %1,26 €
Medinex Ltd
8,87 %0,01 SGD
Mondelez International Inc BRDR
2,20 %0,32 R$
Panasonic Manufacturing Malaysia Bhd
9,21 %0,15 MYR
Seeka Ltd
14,57 %0,12 NZ$
Takara & Co Ltd
2,90 %45 ¥
Transcontinental Inc Shs -B- Conv
3,14 %0,23 CA$
Valora Cri Indice DE Preco Fundo DE Investimento Imobiliario
13,39 %0,92 R$
Allianz Global Investors Fund - Allianz Asian Multi Income Plus AMg (H2-EUR)
4,37 %0,02 €
Amundi Money Market Fund - Short Term (USD) IC-D
2,75 %0,00 $
Brasilien, Föderative Republik 8,25% 04/34
7,47 %0,04 $
China Energy Engineering Corporation Ltd Class A
1,30 %0,01 CN¥
DRI Healthcare Trust Units
3,32 %0,09 $
Value8 NV 8 % Cum Pref Bearer Shs Shs
5,80 %0,09 €
Aeorema Communications PLC
1,25 %0,03 £
Alinma Hospitality REIT Fund Units
8,68 %0,32 SAR
Amundi S.F. - Euro Curve 7-10 year A EUR Dis
10,34 %0,00 €
Baden-Württemberg, Land 2,688% 24/28
2,69 %0,02 €
Bank Of Beijing Co Ltd Class A
5,05 %0,12 CN¥
Beauty Garage Inc
0,98 %7 ¥
British Telecommunications PLC 3,875% 24/34
4,06 %0,02 €
Ceenik Exports (India) Ltd
0,00 %0,83 ₹
China Automotive Engineering Research Institute Co Ltd Class A
2,60 %0,10 CN¥
China Cinda [2020] I Management Ltd. 3% 21/31
3,33 %0,02 $
CVS Health Corp. 5,125% 15/45
6,14 %0,03 $
Decker Manufacturing Corp
8,04 %1,00 $
Detroit Legal News Co
2,66 %27,00 $
Deutsche Bank AG 1,625% 20/27
1,63 %0,02 €
DICERA Holdings JSC
0,00 %442 ₫
Dry Cell And Storage Battery JSC
0,00 %303 ₫
Fundo Invest Imobiliario FII Parque Dom Pedro Shopping Center
8,49 %19,00 R$
Guiyang Xintian Pharmaceutical Co Ltd Class A
0,36 %0,04 CN¥
Huatu Cendes Co Ltd Class A
2,08 %0,10 CN¥
John Deere Financial Inc. 4,36% 24/27
4,36 %0,02 CA$
Kitac Corp
1,98 %5 ¥
Landesbank Hessen-Thüringen Girozentrale 3,375% 23/28
3,38 %0,03 €
Morgan Stanley 3,625% 17/27
3,64 %0,02 $
Morgan Stanley 5,449% 23/29
5,45 %0,03 $
National Grid PLC 0,163% 21/28
0,17 %0,00 €
National Grid PLC BRDR
4,12 %0,98 R$
NTPM Holdings Bhd
0,00 %0,00 MYR
Raizen Fuels Finance S.A. 5,3% 17/27
9,04 %0,03 $
Sheh Fung Screws Co Ltd
4,26 %0,50 NT$
Shell International Finance B.V. 1,625% 14/27
1,63 %0,02 €
Switzer Dividend Growth Fund-Active ETF
4,70 %0,01 AU$
Tianjin Ruixin Technology Co Ltd Class A
0,36 %0,30 CN¥
Toyota Motor Corp. 3,669% 18/28
3,76 %0,02 $
UBS (Lux) Bond Fund - Euro High Yield (EUR) P-mdist
5,90 %0,56 €
VTM Ltd
0,00 %0,10 ₹
Xiamen C & D Inc Class A
8,29 %0,40 CN¥

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