European Residential REIT
ERE-UN.TO
#7816
Rank
HK$1.93 B
Marketcap
HK$21.00
Share price
7.20%
Change (1 day)
43.15%
Change (1 year)

Dividend history for European Residential REIT (ERE-UN.TO)

European Residential REIT (stock symbol: ERE-UN.TO) made a total of 67 dividend payments.
The sum of all dividends (adjusted for stock splits) is : HK$8.64
Dividend yield (TTM) : 4.25% See European Residential REIT dividend yield history

Dividend payments for European Residential REIT (ERE-UN.TO) from 2018 to 2024

Annual dividend payments

Year Dividend (stock split adjusted) Change
2024 HK$0.89 12.33%
2023 HK$0.80-9.32%
2022 HK$0.880.00%
2021 HK$0.88 0.63%
2020 HK$0.87-74.11%
2019 HK$3.37 251.14%
2018 HK$0.96N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2024-11-29HK$0.08172N/A
2024-10-31HK$0.08172N/A
2024-09-27HK$0.08172N/A
2024-08-30HK$0.08172N/A
2024-07-31HK$0.08172N/A
2024-06-28HK$0.08172N/A
2024-05-31HK$0.08172N/A
2024-04-29HK$0.08172N/A
2024-03-27HK$0.08172 7.14%
2024-02-28HK$0.07627-6.67%
2024-01-30HK$0.08172N/A
2023-11-29HK$0.08172 7.14%
2023-10-30HK$0.07627-6.67%
2023-09-28HK$0.08172N/A
2023-08-30HK$0.08172N/A
2023-07-28HK$0.08172 7.14%
2023-06-29HK$0.07627-6.67%
2023-05-30HK$0.08172N/A
2023-04-27HK$0.08172 7.14%
2023-02-27HK$0.07627N/A
2023-01-30HK$0.07627N/A
2022-12-29HK$0.07627N/A
2022-11-29HK$0.07627 7.69%
2022-10-28HK$0.07082N/A
2022-09-28HK$0.07082N/A
2022-08-30HK$0.07082N/A
2022-07-28HK$0.07082N/A
2022-06-29HK$0.07082-7.14%
2022-05-30HK$0.07627N/A
2022-04-28HK$0.07627N/A
2022-03-30HK$0.07627 7.69%
2022-02-25HK$0.07082N/A
2022-01-28HK$0.07082N/A
2021-12-30HK$0.07082N/A
2021-11-29HK$0.07082N/A
2021-10-28HK$0.07082-7.14%
2021-09-28HK$0.07627 7.69%
2021-08-30HK$0.07082-7.14%
2021-07-29HK$0.07627 7.69%
2021-06-29HK$0.07082N/A
2021-05-28HK$0.07082-7.14%
2021-04-29HK$0.07627N/A
2021-03-30HK$0.07627 7.69%
2021-02-25HK$0.07082-7.14%
2021-01-28HK$0.07627N/A
2020-12-30HK$0.07627N/A
2020-11-27HK$0.07627 7.69%
2020-10-29HK$0.07082-7.14%
2020-09-29HK$0.07627N/A
2020-08-28HK$0.07627 7.69%
2020-07-30HK$0.07082N/A
2020-06-29HK$0.07082N/A
2020-05-28HK$0.07082N/A
2020-04-29HK$0.07082N/A
2020-03-30HK$0.07082N/A
2020-02-27HK$0.07082N/A
2020-01-30HK$0.07082N/A
2019-12-30HK$0.07082N/A
2019-11-28HK$0.07082N/A
2019-10-30HK$0.07082N/A
2019-09-27HK$0.07082N/A
2019-08-29HK$0.07082N/A
2019-07-30HK$0.07082-67.50%
2019-06-27HK$0.22-92.00%
2019-04-04HK$2.72 468.18%
2018-12-28HK$0.48N/A
2018-09-28HK$0.48N/A