AIMS PROPERTY SECURITIES FUND(BVP) SGD 1.18
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20200.67%SGD 0.008AUD0.007752020-03-30
20192.09%SGD 0.025AUD0.007142019-12-30
AUD0.005352019-09-27
AUD0.006192019-06-27
AUD0.005632019-03-28
20182.20%SGD 0.026AUD0.002852018-12-28
AUD0.010682018-10-15
AUD0.004022018-06-27
AUD0.0082018-03-27
20173.98%SGD 0.047AUD0.004932017-12-27
AUD0.011712017-09-27
AUD0.015062017-06-28
AUD0.014622017-03-29
20165.82%SGD 0.069AUD0.014662016-12-28
AUD0.021442016-09-28
AUD0.018292016-06-28
AUD0.013332016-03-29
20154.66%SGD 0.055AUD0.014722015-12-29
AUD0.012212015-09-28
AUD0.009342015-06-26
AUD0.017912015-03-27
20142.99%SGD 0.035AUD0.013172014-12-29
AUD0.010882014-09-26
AUD0.001712014-06-26
AUD0.009012014-03-25
20130.44%SGD 0.005AUD0.00512013-12-23
200852.45%SGD 0.619AUD0.076242008-12-23
AUD0.133422008-09-24
AUD0.200132008-06-24
AUD0.200132008-03-25
200765.57%SGD 0.774AUD0.200132007-12-21
AUD0.200132007-09-24
AUD0.181072007-06-25
AUD0.181072007-03-26
200615.57%SGD 0.184AUD0.181072006-12-27