Nomura US Brand Equity Investment Asia Currency Dividend 1 Month (0131F113.FUND) 的股息會每月支付。最新每股股息為 ¥250,除息日為 八月 19, 2026,派息日為 八月 19, 2026。下一次每股股息將為 ¥250,除息日為 八月 19, 2026,派息日為 八月 19, 2026。Nomura US Brand Equity Investment Asia Currency Dividend 1 Month (0131F113.FUND) 目前的股息殖利率為 12.86%。
FAQ
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 發放多少股息?▼
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 每股每年派發股息 ¥3,000,股息殖利率為 12.86%。
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 的股息殖利率是多少?▼
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 目前的股息殖利率為 12.86%。
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 何時派發股息?▼
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 每每月發放股息。下一次派息預計在 August 19, 2026。
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 下一次股息是什麼時候?▼
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 的下一次股息派發預計在 August 19, 2026。
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 的股息有多安全?▼
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 的股息資料顯示派息比率為 0%。
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 的股息是多少?▼
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 目前每股派發 ¥250 股息。
我必須在什麼時候買入 Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 的股票才能領取上次股息?▼
To receive the previous dividend from Nomura US Brand Equity Investment Asia Currency Dividend 1 Month, you needed to own the shares before the ex-dividend date of July 20, 2026.
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 上次派發股息是什麼時候?▼
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 上次的股息派發日為 July 20, 2026。
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 在 2025 年的股息是多少?▼
在 2025 年,Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 每股共派發股息 ¥2,250。
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 以哪種貨幣派發股息?▼
Nomura US Brand Equity Investment Asia Currency Dividend 1 Month 以 JPY 派發股息。