United Integrated Services Co Ltd(2404) TWD 211.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.21%TWD 13.125TWD13.12532022-06-28
20218.04%TWD 17TWD172021-06-18
20206.15%TWD 13TWD132020-06-17
20194.73%TWD 10TWD102019-07-09
20181.54%TWD 3.25TWD22018-11-29
TWD1.252018-07-02
20173.55%TWD 7.5TWD7.52017-07-11
20162.66%TWD 5.625TWD5.6252016-06-30
20151.48%TWD 3.125TWD3.1252015-07-03
20141.42%TWD 3TWD32014-07-07
20131.06%TWD 2.25TWD2.252013-07-03
20121.77%TWD 3.75TWD3.752012-07-12
20112.35%TWD 4.966TWD4.965632011-07-15
20100.90%TWD 1.893TWD1.893372010-07-13
20090.57%TWD 1.213TWD1.21252009-07-10
20081.71%TWD 3.625TWD3.6252008-07-16
20071.18%TWD 2.5TWD2.52007-06-27
20061.18%TWD 2.5TWD2.52006-08-01
20051.12%TWD 2.359TWD2.358692005-07-27
20041.10%TWD 2.334TWD2.33442004-07-27
20030.72%TWD 1.517TWD1.516992003-07-18
20020.36%TWD 0.771TWD0.770542002-07-05
20010.58%TWD 1.237TWD1.23712001-07-03
20000.15%TWD 0.318TWD0.318432000-07-07