Pinnacle Investment Management Group Ltd Informations sur les dividendes
Pinnacle Investment Management Group Ltd a un dividende annuel de 0.5992 par action, avec un rendement de 0.00%. Le dividende est payé semestriellement et la dernière date d'ex-dividende était le Sep 1, 2025.
Rendement en dividend
Dividende annuel
Date ex-dividende
0.00%
$0.5992
Sep 1, 2025
Fréquence des paiements
Taux de distribution
Semestriellement
0.00%
Historique des dividendes
Date ex-dividende
Montant en espèces
Date de registre
Date de paiement
Sep 1, 2025
$0.3718
Sep 2, 2025
Sep 19, 2025
Mar 6, 2025
$0.4318
Mar 7, 2025
Mar 21, 2025
Sep 2, 2024
$0.3455
Sep 3, 2024
Sep 20, 2024
Mar 7, 2024
$0.2229
Mar 8, 2024
Mar 22, 2024
Aug 28, 2023
$0.2914
Aug 29, 2023
Sep 15, 2023
Mar 2, 2023
$0.2229
Mar 3, 2023
Mar 17, 2023
Graphiques des dividendes
PINVF Dividendes
PINVF Croissance des dividendes (variation annuelle)
Follow-Up Questions
Quel est le dividende actuel payé par Pinnacle Investment Management Group Ltd et son dividende annuel ?
Quel est le ratio de distribution de dividendes de Pinnacle Investment Management Group Ltd ?
Quelle est la date ex-dividende pour PINVF ?
À quelle fréquence Pinnacle Investment Management Group Ltd verse-t-elle des dividendes ?
Statistiques clés
Clôture préc.
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Prix d'ouverture
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Plage de la journée
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Plage de 52 semaines
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Volume
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Volume moyen
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BPA (TTM)
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Rendement en dividend
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Capitalisation boursière
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Qu’est-ce que PINVF ?
Pinnacle Investment Management Group Ltd. engages in the provision of distribution services and business support as well as building and operating management businesses. The company is headquartered in Sydney, New South Wales. The company went IPO on 2007-06-19. The firm is focused on growing a diverse family of investment management firms (Affiliates). Along with holding equity interests in its Affiliates, the Company provides seed funding, global institutional and retail distribution, and industrial grade middle office and infrastructure services. The company also provides non-investment services to its Affiliates. Its Affiliates product suite provides a variety of investment options across asset classes, including a range of managed funds, actively managed exchange traded funds (Active ETFs), listed investment companies/trusts (LICs/LITs), collective investment trusts (CITs), undertakings for the collective investment in transferable securities (UCITS), Delaware and Cayman funds. Its Affiliates include Spheria Australian Microcap Fund, Hyperion Small Growth Companies Fund, MCP Real Estate Debt Fund and Hyperion Broad Cap Composite.