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Distribution History

Fund Name Currency Ex-date Distribution
(sen/per unit)
Income (%) Capital (%) Unit Split
Kenanga Dana Safa MYR 30-12-2024 0.3000 100 - -
Kenanga Dana Safa MYR 27-09-2024 0.3000 100 - -
Kenanga Dana Safa MYR 27-06-2024 0.3000 100 - -
Kenanga Dana Safa MYR 27-03-2024 0.3000 100 - -
Kenanga Dana Safa MYR 28-12-2023 0.3000 100 - -
Kenanga Dana Safa MYR 27-09-2023 0.3000 100 - -
Kenanga Dana Safa MYR 28-06-2023 0.3000 100 - -
Kenanga Dana Safa MYR 30-03-2023 0.3000 100 - -
Kenanga Dana Safa MYR 29-12-2022 0.3000 100 - -
Kenanga Dana Safa MYR 28-09-2022 0.3000 100 - -
Kenanga Dana Safa MYR 28-06-2022 0.2400 100 - -
Kenanga Dana Safa MYR 28-03-2022 0.2400 100 - -
Kenanga Dana Safa MYR 30-12-2021 0.2400 100 - -
Kenanga Dana Safa MYR 29-09-2021 0.2400 100 - -
Kenanga Dana Safa MYR 29-06-2021 0.2400 100 - -
Kenanga Dana Safa MYR 30-03-2021 0.2400 100 - -
Kenanga Dana Safa MYR 29-12-2020 0.2400 100 - -
Kenanga Dana Safa MYR 28-09-2020 0.2200 100 - -
Kenanga Dana Safa MYR 25-06-2020 0.2200 100 - -
Kenanga Dana Safa MYR 24-03-2020 0.4000 100 - -
Kenanga Dana Safa MYR 26-12-2019 0.4000 100 - -

Note: The Yield represents a financial ratio that shows how much a fund pays out in income distribution each year relative to its fund price at the beginning of the year. In the absence of any capital gains, the dividend yield is the return on investment for a fund.