Frankfurt - FRA

Showing 501–586 of 586 stocks (page 6 of 6).

StockDividend YieldP/E RatioDividend Frequency DGR
SEBC.F Skandinaviska Enskilda Banken AB (publ) 4.58 % 12.14 1 -
SEC0.F ISIV-M.GL.SEMI. DLA - - - -
SEW.F Semperit Aktiengesellschaft Holding - 736 - 10%
SFT.F SoftBank Group Corp. 0.28 % 7.41 2 -
SGE.F Société Générale S.A. 2.45 % 9.95 1 6%
SHA0.F Schaeffler AG 2.77 % 22.75 1 -12%
SOC.F Subsea 7 S.A. 4.34 % 20.78 2 30%
SOH1.F Soitec S.A. - 147.18 - -
SPG.F Springer Nature AG & Co. KGaA I 4.28 % 23.54 2 -
SPYW.F SPDR S&P Euro Dividend Aristocrats UCITS ETF - 13.38 1 2%
SQ3.F Block, Inc. - 33.42 - -
SSUN.F Samsung Electronics Co., Ltd. 1.22 % 19.21 3 -5%
SWTF.F Intouch Holdings PCL R 138.06 % 18.50 2 8%
SYBZ.F SPDR Bloomberg Global Aggregate Bond USD Hdg UCITS ETF Acc - - - -
T6A.F Tripadvisor, Inc. - 90.16 - -
T9Z.F Zumtobel Group AG - 16.48 1 -21%
TA1.F Telekom Austria AG 4.47 % 10.21 - -
TBX0.F tick Trading Software AG 6.02 % 8.83 1 -7%
TCM1.F The Siam Cement Public Company Limited 2.22 % 15.13 2 -22%
TH9.F Embracer Group AB N - 45.06 - -
THYG.F Thai Union Group Public Company Limited 6.89 % 9.07 2 0%
TKDA.F Takeda Pharmaceutical Company Limited 1503.76 % 40.31 1 -8%
TL0.F Tesla, Inc. - 384.31 - -
TLIK.F Arzneiwerk AG VIDA - -2.75 - -
TMLF.F TMBThanachart Bank Public Company Limited 9.68 % 5 2 30%
TOM.F Toyota Motor Corporation 2.83 % 12.66 2 9%
TPIG.F IRPC Public Company Limited 1.03 % -2.65 1 -13%
TQI.F Telecom Italia S.p.A. - -20.21 - -
TQIR.F Telecom Italia S.p.A. - -23.97 - -
TQW.F Tullow Oil plc - 5.52 - -
TR9.F OTRS AG 1.53 % -26.62 - -
TSFA.F Taiwan Semiconductor Manufacturing Company Limited 5.47 % 33.27 4 12%
TT8.F The Trade Desk, Inc. - 22.79 - -
TUF.F LIBERO Football Finance AG - -28 - -
TUR.F Turbon AG 7.69 % -8.39 - -
TWY.F Alibaba Health Information Technology Limited 14.75 % 20 - -
TX3A.F Airports of Thailand Public Company Limited 1.73 % 42 1 -
U1DA.F Finchain Capital Partners AG - -2.59 - -
U9O0.F Oakridge International Limited - -1.70 - -
U9R.F Under Armour, Inc. - -5.70 - -
UCRH.F AIS-A.I.US C. UEDRHEOD - - - -
UDB.F Senex Energy Limited - 12.74 - -
URNU.F Global X Uranium UCITS ETF - - - -
V46.F Probe Gold Inc. - -32 - -
VANA.F Advantest Corporation 40.97 % 53.99 2 2%
VAN.F Advantest Corporation 40.47 % 53.47 2 4%
VBX.F Voltabox AG - -20.76 - -
VC1.F Bocana Resources Corp. - -0.22 - -
VFP.F V.F. Corporation 1.87 % 32.76 4 -26%
VH2.F Friedrich Vorwerk Group SE - 18.50 1 30%
VJF.F Vital Metals Limited - -4.75 - -
VNA.F Vonovia SE 5.89 % 6.57 1 3%
VODI.F Vodafone Group Public Limited Company 3.55 % 9.47 1 2%
VOW3.F Volkswagen AG 5.79 % 7.30 - 30%
VUSC.F Vanguard USD Corporate 1-3 year Bond UCITS ETF - - - -
VVD.F Veolia Environnement SA 4.36 % 20.62 1 30%
VVGM.F VANECK MS GL. MOAT UC.ETF - - - -
W3U.F The Western Union Company 12.13 % 6.68 4 1%
W9C.F Constellation Software Inc. 0.22 % 58.28 4 4%
WDP.F The Walt Disney Company 1.63 % 16.74 2 -
WFS.F Warimpex Finanz- und Beteiligungs AG - -2.57 - -
WGES.F MUL-LMSCSWES DLD - - - -
WIG1.F Sporttotal AG - -0.01 - -
WNL.F Wallenius Wilhelmsen ASA 11.68 % 5.42 2 30%
WOP0.F Woodside Energy Group Ltd 5.84 % 15.74 2 22%
WTK.F Invalda INVL, AB - 7.51 1 -
WX4.F Omega Healthcare Investors, Inc. 6.96 % 21.47 4 0%
WYZ1.F COMGEST GROWTH CHINA EUR ACC - - - -
X5Z.F ANZ Group Holdings Limited 4.22 % 18.50 3 18%
XDWF.F Xtrackers MSCI World Financials UCITS ETF - - - -
XER2.F Xerox Holdings Corporation 5.49 % -0.21 1 -
XNAS.F XTR.IE-N.100E. 1CDLA - - - -
XNKY.F Xtrackers Nikkei 225 UCITS ETF - 13.27 - -
XSDG.F Samsung SDI Co., Ltd. - 245.83 - -
XTP.F Sino AG - 182.40 1 -
YA1.F Yancoal Australia Ltd 4.20 % 21.91 2 -1%
YIR.F Yihai International Holding Ltd. 55.03 % 13.09 2 30%
YJ3A.F JBS S.A. R 10.05 % - 1 30%
YK6B.F GlobalData Plc 2.09 % 47 1 -
YK6.F GlobalData Plc 1.81 % 43.50 2 -18%
YOU.F ABOUT YOU Holding AG - -11.31 - -
YSON.F Sonae, SGPS, S.A. 3.35 % 18.44 1 5%
Z1L.F Lerøy Seafood Group ASA 59.44 % 26.15 1 4%
Z85.F Austevoll Seafood ASA 83.55 % 18.14 1 16%
ZYE1.F Addiko Bank AG 4.83 % 11.45 - -
ZZRG.F Allianz Global Investors Fund - Allianz Global Artificial Intelligence Fund - - - -