Mirai Corp 每股年股息為 2,613.1773,收益率為 0.00%。股息每 每半年 支付,最後除權日為 Oct 30, 2025。
股息收益率
年度股息
除息日
0.00%
$2,613.1773
Oct 30, 2025
付款頻率
派息比例
每半年
0.00%
股利歷史
除息日
現金金額
記錄日期
付款日
Oct 30, 2025
$1,273.00
Oct 31, 2025
Jan 1, 2026
Apr 28, 2025
$1,300.00
Apr 30, 2025
Jul 1, 2025
Oct 30, 2024
$1,257.00
Oct 31, 2024
Jan 16, 2025
Apr 26, 2024
$1,150.00
Apr 30, 2024
Jul 12, 2024
Oct 30, 2023
$1,215.00
Oct 31, 2023
Jan 12, 2024
Apr 27, 2023
$1,305.00
Apr 30, 2023
Jul 7, 2023
股利圖表
MIRAF 股利
MIRAF 股息增長(年增率)
關鍵數據
前收市價
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開盤價
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當日範圍
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52週區間
-
交易量
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平均成交量
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每股盈餘 (TTM)
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股息收益率
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市值
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什麼是 MIRAF?
MIRAI Corp. is a real investment trust company, which invests in offices, commercial facilities, and hotels. The company is headquartered in Chiyoda-Ku, Tokyo-To. The company went IPO on 2016-12-16. The company aims to achieve sustainable growth in asset and stable earnings from mid- to long-term perspectives. The Fund mainly invests in offices, commercial facilities, hotels, residential facilities, and logistics facilities. The investment areas are the three major metropolitan areas with high population density. Properties include Shinagawa Seaside Park Tower, Kawasaki Tech Center, Shinjuku Eastside Square, and Tokyo Front Terrace and others. The asset manager is Mitsui Bussan & Idera Partners Co., Ltd.