UNI-SELECT INC. Logo
CA90457D1006
812694
UNS.TO

UNI-SELECT INC.

Dividend yield TTM
0.00%
€0.00/share
Dividend growth (CAGR 5Y)
-
Next dividend
It is unlikely that any further dividends will be paid.

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Historical dividends

In 2020, UNI-SELECT INC. has already paid €0.12 in dividends. The last payout was in April 2020.

Tools for dividend investors

Dividend metrics Metrics

All metrics All
Metric Value
Price
€33.00
Yield
0.00%
Interval
None
CAGR 3Y
-
CAGR 5Y
-
CAGR 10Y
-

All dividend data

UNI-SELECT INC. has not paid a dividend in the last 3 years. It is therefore likely that no further dividends will be paid.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2020 €0.12 50.27% 2.32%
30/03/2020 21/04/2020 €0.0584
30/12/2019 21/01/2020 €0.0621
2019 €0.24 2.89% 3.18%
27/09/2019 15/10/2019 €0.0618
27/06/2019 16/07/2019 €0.0613
28/03/2019 16/04/2019 €0.0597
28/12/2018 15/01/2019 €0.0595
2018 €0.24 5.80% 1.95%
27/09/2018 16/10/2018 €0.0601
28/06/2018 17/07/2018 €0.0585
28/03/2018 17/04/2018 €0.0579
28/12/2017 16/01/2018 €0.059
2017 €0.25 8.32% 1.34%
28/09/2017 17/10/2017 €0.0612
28/06/2017 18/07/2017 €0.0617
29/03/2017 18/04/2017 €0.0627
28/12/2016 17/01/2017 €0.0644
2016 €0.23 1.32% 1.15%
28/09/2016 18/10/2016 €0.0625
28/06/2016 19/07/2016 €0.0627
29/03/2016 19/04/2016 €0.0553
29/12/2015 19/01/2016 €0.0503
2015 €0.23 11.67% 0.53%
28/09/2015 20/10/2015 €0.0543
26/06/2015 21/07/2015 €0.0565
27/03/2015 21/04/2015 €0.0608
29/12/2014 21/01/2015 €0.0562
2014 €0.20 0.87% 1.03%
26/09/2014 21/10/2014 €0.056
26/06/2014 22/07/2014 €0.0553
27/03/2014 22/04/2014 €0.046
27/12/2013 22/01/2014 €0.0467
2013 €0.21 2.09% 1.07%
26/09/2013 22/10/2013 €0.0494
26/06/2013 19/07/2013 €0.0513
26/03/2013 19/04/2013 €0.0522
24/12/2012 22/01/2013 €0.0529
2012 €0.21 19.98% 1.22%
26/09/2012 19/10/2012 €0.0542
27/06/2012 20/07/2012 €0.0568
28/03/2012 20/04/2012 €0.0534
28/12/2011 20/01/2012 €0.0458
2011 €0.18 1.80% -
28/09/2011 19/10/2011 €0.0429
28/06/2011 20/07/2011 €0.0446
29/03/2011 21/04/2011 €0.0433
29/12/2010 21/01/2011 €0.0444
2010 €0.17 18.94% -
28/09/2010 19/10/2010 €0.0423
28/06/2010 20/07/2010 €0.0443
07/04/2010 21/04/2010 €0.0449
29/12/2009 21/01/2010 €0.0406
2009 €0.14 13.49% -
28/09/2009 20/10/2009 €0.0385
26/06/2009 21/07/2009 €0.0382
27/03/2009 21/04/2009 €0.0374
29/12/2008 20/01/2009 €0.0306
2008 €0.13 6.32% -
26/09/2008 21/10/2008 €0.0314
26/06/2008 21/07/2008 €0.0314
27/03/2008 21/04/2008 €0.0313
27/12/2007 21/01/2008 €0.0334
2007 €0.14 1.49% -
26/09/2007 22/10/2007 €0.036
27/06/2007 23/07/2007 €0.0346
28/03/2007 20/04/2007 €0.0327
27/12/2006 22/01/2007 €0.0328
2006 €0.13 27.23% -
27/09/2006 23/10/2006 €0.0353
28/06/2006 21/07/2006 €0.0347
29/03/2006 21/04/2006 €0.0356
28/12/2005 20/01/2006 €0.0285
2005 €0.11 12.73% -
28/09/2005 20/10/2005 €0.0285
28/06/2005 21/07/2005 €0.0271
29/03/2005 21/04/2005 €0.0247
29/12/2004 21/01/2005 €0.0251
2004 €0.0935 23.68% -
28/09/2004 21/10/2004 €0.0255
28/06/2004 21/07/2004 €0.0247
29/03/2004 21/04/2004 €0.0248
29/12/2003 20/01/2004 €0.0185
2003 €0.0756 6.90% -
26/09/2003 21/10/2003 €0.0195
26/06/2003 21/07/2003 €0.0188
27/03/2003 21/04/2003 €0.019
27/12/2002 20/01/2003 €0.0183
2002 €0.0812 5.80% -
26/09/2002 18/10/2002 €0.0196
26/06/2002 19/07/2002 €0.0192
26/03/2002 19/04/2002 €0.0214
24/12/2001 18/01/2002 €0.021
2001 €0.0862 1.60% -
26/09/2001 19/10/2001 €0.0212
27/06/2001 20/07/2001 €0.0223
28/03/2001 20/04/2001 €0.0215
27/12/2000 19/01/2001 €0.0212
2000 €0.0876 28.26% -
27/09/2000 20/10/2000 €0.0236
28/06/2000 20/07/2000 €0.0219
31/03/2000 20/04/2000 €0.0217
29/12/1999 20/01/2000 €0.0204
1999 €0.0683 41.12% -
28/09/1999 20/10/1999 €0.0187
28/06/1999 20/07/1999 €0.0193
29/03/1999 20/04/1999 €0.0189
24/12/1998 20/01/1999 €0.0114
1998 €0.0484 5.65% -
28/09/1998 20/10/1998 €0.0108
26/06/1998 20/07/1998 €0.0121
27/03/1998 20/04/1998 €0.0127
29/12/1997 20/01/1998 €0.0128
1997 €0.0513 24.58% -
26/09/1997 20/10/1997 €0.013
26/06/1997 18/07/1997 €0.0132
26/03/1997 18/04/1997 €0.0126
27/12/1996 20/01/1997 €0.0125
1996 €0.0412 84.25% -
26/09/1996 20/10/1996 €0.0119
26/06/1996 19/07/1996 €0.0115
27/03/1996 19/04/1996 €0.0119
27/12/1995 19/01/1996 €0.00588
1995 €0.0224 10.17% -
27/09/1995 20/10/1995 €0.0057
28/06/1995 20/07/1995 €0.0055
27/03/1995 20/04/1995 €0.00552
22/12/1994 20/01/1995 €0.00563
1994 €0.0249 5.51% -
26/09/1994 20/10/1994 €0.00579
23/06/1994 20/07/1994 €0.00593
24/03/1994 20/04/1994 €0.00633
23/12/1993 20/01/1994 €0.00683
1993 €0.0263 37.85% -
24/09/1993 20/10/1993 €0.00657
24/06/1993 20/07/1993 €0.00684
25/03/1993 20/04/1993 €0.00653
11/01/1993 20/01/1993 €0.00639
1992 €0.0191 9.35% -
24/09/1992 20/10/1992 €0.00623
23/06/1992 20/07/1992 €0.00613
23/12/1991 20/01/1992 €0.00674
1991 €0.0211 22.71% -
24/09/1991 18/10/1991 €0.00733
21/06/1991 19/07/1991 €0.00741
21/12/1990 18/01/1991 €0.00633
1990 €0.0273 0.00% -
24/09/1990 19/10/1990 €0.00621
22/06/1990 20/07/1990 €0.00685
26/03/1990 20/04/1990 €0.00707
21/12/1989 19/01/1990 €0.00713

Frequently asked questions

When were the most recent dividend payment dates for UNI-SELECT INC.?

The most recent payment was made on 21/04/2020. Previous payments were made on: 21/01/2020.

When did you need to hold UNI-SELECT INC. in your portfolio to receive the latest dividend?

If you held UNI-SELECT INC. in your portfolio on 30/03/2020, you received the payout.

When is the next dividend from UNI-SELECT INC. expected?

As UNI-SELECT INC. has not paid a dividend in the last 3 years, it is unlikely to pay another dividend.

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