VanEck ETFs N.V. - Dividend Declaration

Compatibilità
Salva(0)
Condividi

ISIN Fund Name Net Gross Currency Announcement Ex Record Payment Amount Amount Date Date Date Date NL0009272749 VanEck AEX 0.1360 0.1600 EUR 26/02/2025 05/03 06/03/2 12/03/202 UCITS ETF / 2025 025 5 NL0009272764 VanEck Multi 0.0935 0.1100 EUR 26/02/2025 05/03 06/03/2 12/03/202 -Asset Conservative Allocation / UCITS ETF 2025 025 5 NL0009272772 VanEck Multi 0.1785 0.2100 EUR 26/02/2025 05/03 06/03/2 12/03/202 -Asset Balanced Allocation / UCITS ETF 2025 025 5 NL0009272780 VanEck Multi 0.1955 0.2300 EUR 26/02/2025 05/03 06/03/2 12/03/202 -Asset Growth Allocation / UCITS ETF 2025 025 5 NL0009690239 VanEck 0.2720 0.3200 EUR 26/02/2025 05/03 06/03/2 12/03/202 Global Real Estate UCITS / ETF 2025 025 5 NL0009690254 VanEck iBoxx 0.0765 0.0900 EUR 26/02/2025 05/03 06/03/2 12/03/202 EUR Sovereign Diversified / 1 2025 025 5 -10 UCITS ETF NL0010408704 VanEck World 0.0850 0.1000 EUR 26/02/2025 05/03 06/03/2 12/03/202 Equal Weight Screened UCITS / ETF 2025 025 5 NL0010731816 VanEck 0.1190 0.1400 EUR 26/02/2025 05/03 06/03/2 12/03/202 European Equal Weight Screened / UCITS 2025 025 5 ETF NL0011683594 VanEck 0.1615 0.1900 EUR 26/02/2025 05/03 06/03/2 12/03/202 Morningstar Developed Markets / Dividend 2025 025 5 Leaders UCITS ETF This information was brought to you by Cision http://news.cision.com

Recapiti
PRNDisclose