Takasago International Corporation
4914.T
#6136
Rank
$0.69 B
Marketcap
$35.89
Share price
-1.41%
Change (1 day)
55.15%
Change (1 year)

Dividend history for Takasago International Corporation (4914.T)

Takasago International Corporation (stock symbol: 4914.T) made a total of 48 dividend payments.
The sum of all dividends (adjusted for stock splits) is : $7.36
Dividend yield (TTM) : 2.09% See Takasago International Corporation dividend yield history

Dividend payments for Takasago International Corporation (4914.T) from 2001 to 2024

Annual dividend payments

Year Dividend (stock split adjusted) Change
2024 $0.75 43.75%
2023 $0.52 14.29%
2022 $0.45 40.00%
2021 $0.32 25.00%
2020 $0.26-27.27%
2019 $0.36N/A
2018 $0.36 10.00%
2017 $0.32 11.11%
2016 $0.29 12.50%
2015 $0.26N/A
2014 $0.26N/A
2013 $0.26N/A
2012 $0.26N/A
2011 $0.26 60.00%
2010 $0.16-37.50%
2009 $0.26-11.11%
2008 $0.29 12.50%
2007 $0.26N/A
2006 $0.26 60.00%
2005 $0.16-37.50%
2004 $0.26N/A
2003 $0.26N/A
2002 $0.26N/A
2001 $0.26N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2024-09-27$0.52 128.57%
2024-03-28$0.23N/A
2023-09-28$0.23-22.22%
2023-03-30$0.29 80.00%
2022-09-29$0.16-44.44%
2022-03-30$0.29 80.00%
2021-09-29$0.16N/A
2021-03-30$0.16N/A
2020-09-29$0.16 66.67%
2020-03-30$0.09733-40.00%
2019-09-27$0.16-16.67%
2019-03-27$0.19 50.00%
2018-09-26$0.13-42.86%
2018-03-28$0.23 75.00%
2017-09-27$0.13-33.33%
2017-03-29$0.19 50.00%
2016-09-28$0.13-20.00%
2016-03-29$0.16 25.00%
2015-09-28$0.13N/A
2015-03-27$0.13N/A
2014-09-26$0.13N/A
2014-03-27$0.13N/A
2013-09-26$0.13N/A
2013-03-27$0.13N/A
2012-09-26$0.13N/A
2012-03-28$0.13N/A
2011-09-28$0.13N/A
2011-03-29$0.13N/A
2010-09-28$0.13 300.00%
2010-03-29$0.03244-75.00%
2009-09-25$0.13N/A
2009-03-26$0.13N/A
2008-09-25$0.13-20.00%
2008-03-26$0.16 25.00%
2007-09-25$0.13N/A
2007-03-27$0.13N/A
2006-09-26$0.13N/A
2006-03-28$0.13N/A
2005-09-27$0.13 300.00%
2005-03-28$0.03244-75.00%
2004-09-27$0.13N/A
2004-03-26$0.13N/A
2003-09-25$0.13N/A
2003-03-26$0.13N/A
2002-09-25$0.13N/A
2002-03-26$0.13N/A
2001-09-25$0.13N/A
2001-03-27$0.13N/A