Ponsse Oyj 1(PON1V) EUR 27.65
Dividend Yield(TTM) =2.17%
Year Yield Total Amount Ex Date
20232.17%EUR 0.6EUR0.62023-04-13
20222.17%EUR 0.6EUR0.62022-04-08
20212.17%EUR 0.6EUR0.62021-04-08
20201.08%EUR 0.3EUR0.32020-05-28
20192.89%EUR 0.80.82019-04-04
20182.71%EUR 0.750.752018-04-10
20172.17%EUR 0.60.62017-04-12
20161.99%EUR 0.55EUR0.552016-04-13
20151.63%EUR 0.45EUR0.452015-04-15
20141.08%EUR 0.30.32014-04-16
20130.90%EUR 0.250.252013-04-17
20121.27%EUR 0.35EUR0.352012-04-18
20111.27%EUR 0.35EUR0.352011-04-13
20100.54%EUR 0.150.152010-04-01
20090.36%EUR 0.10.12009-11-17
20081.81%EUR 0.5EUR0.52008-04-30
20071.45%EUR 0.4EUR0.42007-04-13
20061.45%EUR 0.4EUR0.42006-03-16
20050.36%EUR 0.10.12005-03-16
20043.62%EUR 1EUR0.52004-11-25
EUR0.52004-03-17
20030.59%EUR 0.1630.16252003-03-21
20020.59%EUR 0.1630.16252002-03-25
20010.59%EUR 0.1630.16252001-03-16
20000.41%EUR 0.1130.11252000-03-17