Investor AB ser. B (INVEb)

218.5 -1.2 (-0.55%)
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INVEb Dividends

Ex-Dividend Date
Dividend
EPS Payout Ratio
Type
Payment Date
Yield
Nov 03, 2023 1.1 Final Payment Nov 09, 2023 2.00%
May 04, 2023 3.3 31% Interim Payment May 10, 2023 1.96%
Nov 04, 2022 1 37% Final Payment Nov 10, 2022 2.25%
May 04, 2022 3 -13% Interim Payment May 10, 2022 2.19%
Nov 05, 2021 1 11% Final Payment Nov 11, 2021 1.68%
May 06, 2021 10 35% Interim Payment May 12, 2021 2.60%
Jun 18, 2020 9 -15% Annual Jun 25, 2020 1.75%
Nov 08, 2019 4 17% Final Payment Nov 14, 2019 2.57%
May 09, 2019 9 24% Interim Payment May 15, 2019 2.93%
Nov 09, 2018 4 12% Final Payment Nov 15, 2018 3.05%
May 09, 2018 8 139% Interim Payment May 16, 2018 2.03%
May 04, 2017 11 28% Annual May 10, 2017 2.69%
May 11, 2016 10 Annual May 17, 2016 3.51%
May 13, 2015 9 180% Other Dividend May 20, 2015 2.73%
May 07, 2014 8 Annual May 14, 2014 3.16%
Apr 16, 2013 7 Annual Apr 23, 2013 3.64%
Apr 18, 2012 6 Annual Apr 25, 2012 4.22%
Apr 13, 2011 5 Annual Apr 20, 2011 3.29%
Apr 15, 2010 4 Annual Apr 22, 2010 2.80%
Apr 01, 2009 4 Annual Apr 08, 2009 3.84%
Apr 04, 2008 4.75 Annual Apr 11, 2008 3.30%
Mar 28, 2007 4.5 Annual Apr 04, 2007 2.65%
Mar 22, 2006 3.5 Annual Mar 29, 2006 2.41%
Apr 12, 2005 2.25 Annual Apr 19, 2005 2.21%
Mar 24, 2004 2.25 Annual Mar 31, 2004 3.00%
Apr 24, 2003 2.25 Annual May 02, 2003 4.21%
Apr 24, 2003 1.15 Bonus Payment May 02, 2003 6.36%
Apr 17, 2002 3 Annual Apr 24, 2002 2.52%
Apr 17, 2002 2.5 Bonus Payment Apr 24, 2002 4.62%
Apr 03, 2001 2.5 Bonus Payment Apr 10, 2001 4.38%
Apr 03, 2001 3 Annual Apr 10, 2001 2.39%
Mar 29, 2000 3 Annual Apr 05, 2000 2.12%
Mar 29, 2000 0.4 Bonus Payment Apr 05, 2000 4.35%
Apr 15, 1999 11 Annual Apr 26, 1999 2.80%
Apr 21, 1998 10 Annual Apr 30, 1998 2.24%
Apr 15, 1997 10 Annual Apr 24, 1997 2.92%
May 30, 1996 9 Annual Jun 17, 1996 3.15%
May 30, 1996 20 Bonus Payment Jun 17, 1996 10.16%
May 17, 1995 8 Annual May 29, 1995 3.73%
May 20, 1994 5.25 Annual Jun 01, 1994 2.45%
May 18, 1993 5.25 Annual May 28, 1993 4.27%
May 12, 1992 5.25 Annual May 25, 1992 3.52%
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