In the market segment global market the following dividends will be paid out – dividend ex date 20 May 2019:
Security ISIN | Dividend | Ex Date | Record Date | Payment Date |
---|---|---|---|---|
MICROCHIP TECHNOLOGY INC US5950171042 | 0.3655 | 05/20/2019 | 05/21/2019 | 06/04/2019 |
SKYWORKS SOLUTIONS INC US83088M1027 | 0.13 USD | 05/20/2019 | 05/21/2019 | 06/11/2019 |
TECHNIPFMC PLC GB00BDSFG982 | 0.13 | 05/20/2019 | 05/21/2019 | 06/05/2019 |
BANCA POPOLARE SPA IT0000066123 | 0.13 | 05/20/2019 | 05/21/2019 | 05/22/2019 |
BANCA GENERALI SPA IT0001031084 | 1.25 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
A2A SPA IT0001233417 | 0.07 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
UNIONE DI BANCHE ITALIANE SPA IT0003487029 | 0.12 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
LEONARDO SPA IT0003856405 | 0.14 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
SALVATORE FERRAGAMO SPA IT0004712375 | 0.34 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
UNIPOL SPA IT0004810054 | 0.18 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
UNIPOLSAI SPA IT0004827447 | 0.145 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
MONCLER SPA IT0004965148 | 0.4 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
ITALGAS SPA IT0005211237 | 0.234 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
BREMBO SPA IT0005252728 | 0.22 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
PIRELLI SPA IT0005278236 | 0.177 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
TENARIS SA LU0156801721 | 0.28 USD | 20.05.2019 | 05/21/2019 | 05/22/2019 |
FIAT CHRYSLER (FCA) NV NL0010877643 | 1.3 EUR | 05/20/2019 | 05/21/2019 | 05/30/2019 |
ASSICURAZIONI GENERALI SPA IT0000062072 | 0.9 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
ATLANTIA SPA IT0003506190 | 0.9 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
AIR LIQUIDE SA FR0000120073 | 2.65 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
ENI SPA IT0003132476 | 0.41 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
INTESA SANPAOLO SPA IT0000072618 | 0.197 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
BUZZI UNICEM SPA IT0001347308 | 0.125 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
AZIMUT HOLDING SPA IT0003261697 | 1.5 EUR | 05/20/2019 | 05/21/2019 | 05/22/2019 |
The orders are declared cancelled and have to be placed again on the dividend ex date.
Tip – Price data: All international securities in the global market