已收盤 02-06 16:00:00 美东时间
+1.729
+1.79%
First Trust Multi Cap Value AlphaDEX® Fund (NASDAQ:FAB) declares $0.3783/share quarterly dividend. Payable Sept. 30; for shareholders of record Sept. 25; ex-div Sept. 25. See FAB Dividend Scorecard, Y...
2025-09-25 23:45
Fusion Antibodies Plc ( ($GB:FAB) ) just unveiled an announcement. Fusion Antib...
2025-07-24 18:03
公司名稱
|
First Trust Multi Cap Value AlphaDEX Fund
|
行業分類
|
Investment Trusts/Mutual Funds
|
業務描述
|
Exists as exchange Traded Fund
|
First Trust Multi Cap Value AlphaDEX® Fund (NASDAQ:FAB) declares $0.3783/share quarterly dividend. Payable Sept. 30; for shareholders of record Sept. 25; ex-div Sept. 25. See FAB Dividend Scorecard, Y...
2025-09-25 23:45
Fusion Antibodies Plc ( ($GB:FAB) ) just unveiled an announcement. Fusion Antib...
2025-07-24 18:03
年度
|
派息內容
| 派息日期 |
0.51
|
2025-12-31
| |
0.38
|
2025-09-30
| |
0.31
|
2025-06-30
| |
0.19
|
2025-03-31
| |
0.58
|
2024-12-31
| |
0.45
|
2024-09-30
| |
0.38
|
2024-06-28
| |
0.24
|
2024-03-28
| |
0.54
|
2023-12-29
| |
0.38
|
2023-09-29
| |
0.33
|
2023-06-30
| |
0.27
|
2023-03-31
| |
0.48
|
2022-12-30
| |
0.31
|
2022-09-30
| |
0.24
|
2022-06-30
| |
0.21
|
2022-03-31
| |
0.39
|
2021-12-31
| |
0.29
|
2021-09-30
| |
0.19
|
2021-06-30
| |
0.12
|
2021-03-31
| |
0.31
|
2020-12-31
| |
0.24
|
2020-09-30
| |
0.24
|
2020-06-30
| |
0.14
|
2020-03-31
| |
0.34
|
2019-12-31
| |
0.36
|
2019-09-30
| |
0.20
|
2019-06-28
| |
0.11
|
2019-03-29
| |
0.35
|
2018-12-31
| |
0.17
|
2018-09-28
| |
0.29
|
2018-06-29
| |
0.12
|
2018-03-29
| |
0.32
|
2017-12-29
| |
0.16
|
2017-09-29
| |
0.19
|
2017-06-30
| |
0.13
|
2017-03-31
| |
0.25
|
2016-12-30
| |
0.18
|
2016-09-30
| |
0.16
|
2016-06-30
| |
0.12
|
2016-03-31
| |
0.20
|
2015-12-31
| |
0.19
|
2015-09-30
| |
0.16
|
2015-06-30
| |
0.11
|
2015-03-31
| |
0.20
|
2014-12-31
| |
0.17
|
2014-09-30
| |
0.16
|
2014-06-30
| |
0.13
|
2014-03-31
| |
0.15
|
2013-12-31
| |
0.11
|
2013-09-30
| |
0.13
|
2013-06-28
| |
0.08
|
2013-03-28
| |
0.29
|
2012-12-31
| |
0.17
|
2012-06-29
| |
0.19
|
2011-12-30
| |
0.14
|
2011-06-30
| |
0.18
|
2010-12-31
| |
0.16
|
2010-06-30
| |
0.19
|
2009-12-31
| |
0.14
|
2009-06-30
| |
0.17
|
2008-12-31
| |
0.25
|
2008-06-30
| |
0.14
|
2007-12-31
|
