The Board of Nippon Active Value Fund plc declared an interim dividend in respect of the year to 31 December 2021 of 1.95 pence per ordinary share, payable on 26 April 2022 to shareholders on the register at 8 April 2022. The ex-dividend date will be 7 April 2022.
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|
5-day change | 1st Jan Change | ||
170 GBX | -1.16% | -1.16% | +4.94% |
Apr. 03 | Nippon Active Value NAV rises but slashes dividend | AN |
Apr. 03 | Nippon Active Value Fund plc Declares an Interim Dividend in Respect of the Year to 31 December 2023, Payable on 24 May 2024 | CI |
Chiffre d''affaires - Rate of surprise
1st Jan change | Capi. | |
---|---|---|
+4.94% | 402M | |
+5.34% | 12.82B | |
+12.72% | 9.62B | |
+9.66% | 5.64B | |
-0.50% | 5.56B | |
+6.41% | 5.23B | |
+17.95% | 4.63B | |
+18.80% | 4.53B | |
+2.81% | 4.07B | |
+6.22% | 3.94B |
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- Nippon Active Value Fund plc Declares Interim Dividend in Respect of the Year to 31 December 2021, Payable on April 26, 2022