Frequency - Annual

Dividend Date Revenew Currency Payment Date
24/12/10 1.22 EUR 24/12/13
23/12/12 0.5 EUR 23/12/15
22/12/07 0.19 EUR 22/12/09
22/07/06 0.4 EUR 22/07/08
21/12/08 0.31 EUR 21/12/10
21/07/07 0.15 EUR 21/07/09
20/12/09 0.04 EUR 20/12/11
20/07/08 0.14 EUR 20/07/10
19/12/11 0.07 EUR 19/12/13
19/07/10 0.5 EUR 19/07/12
18/12/12 0.09 EUR 18/12/14
18/07/11 0.44 EUR 18/07/13
17/12/13 0.1 EUR 17/12/15
17/07/12 0.35 EUR 17/07/17
16/12/14 0.06 EUR 16/12/16
16/07/06 0.38 EUR 16/07/08
15/12/09 0.1 EUR 15/12/11
15/07/08 0.55 EUR 15/07/10
14/12/10 0.09 EUR 14/12/12
14/07/09 0.31 EUR 14/07/14
13/12/11 0.09 EUR 13/12/16
13/07/10 0.12 EUR 13/07/15
12/12/12 0.33 EUR 12/12/17
11/12/07 0.11 EUR 11/12/12
11/07/06 0.75 EUR 11/07/11
10/07/12 0.55 EUR 10/07/15
 

Dividends paid by Structured ETF Amundi Ftse Mib Daily (2x) Leveraged Ucits Etf


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