Robus Value Bond Fund A EUR (LU0960826575.FUND) May 2022 Dividend

€76.83
-€0.19-0.25% Tuesday 00:00
Dividend Yield
4.91%
Dividend amount
€3.77
€2.52
Per Share

Announced

Confirmed

Ex Date

Reached • May 20, 22

Pay Date

Unknown Payout Date

Description

Robus Value Bond Fund A EUR (LU0960826575.FUND) has announced a dividend of €2.52 with an ex date of May 20, 2022 and a payment date of N/A. The record date is N/A.

Community

0 Comments

Share your thoughts