Compagnia Immobiliare Azionaria S.p.A. operates in the real estate sector in Italy. It leases and sells real estate properties. The company also offers timeshare management services; and delivers facility management services, such as routine maintenance, adjustment of structures and facilities, ancillary services, and other services. In addition, it invests in agriculture and farm holiday businesses; and engages in winegrowing activities. Compagnia Immobiliare Azionaria S.p.A. was founded in 2002 and is headquartered in Milan, Italy.
Compagnia Immobiliare Azionaria Dividend Announcement
• Compagnia Immobiliare Azionaria announced a annually dividend of €0.00 per ordinary share which will be made payable on 2018-05-30. Ex dividend date: 2018-05-28
• Compagnia Immobiliare Azionaria's trailing twelve-month (TTM) dividend yield is -%
Compagnia Immobiliare Azionaria Dividend History
Ex-Div date | Dividend amount | Dividend type | Pay date |
---|---|---|---|
2018-05-28 | €0.00 | annually | 2018-05-30 |
2016-05-23 | €0.00 | annually | |
2009-05-11 | €0.01 | annually |
Compagnia Immobiliare Azionaria Dividend per year
Compagnia Immobiliare Azionaria Dividend Yield
Compagnia Immobiliare Azionaria current trailing twelve-month (TTM) dividend yield is -%. Interested in purchasing Compagnia Immobiliare Azionaria stock? Use our calculator to estimate your expected dividend yield:
Compagnia Immobiliare Azionaria Financial Ratios
Compagnia Immobiliare Azionaria Dividend FAQ
1. Growth opportunities: Companies, especially in fast-growing industries like technology, reinvest earnings into expansion, R&D, or acquisitions to fuel future growth and increase company value.
2. Tax implications: Not paying dividends can reduce the tax burden on shareholders, who may prefer to defer taxes until selling shares and realizing capital gains.
3. Investor preferences: Some investors prefer companies to reinvest profits for higher long-term returns, particularly those seeking capital appreciation over income.
4. Capital allocation priorities: Companies may allocate cash to pay down debt, fund share buybacks, or invest in projects with higher returns than dividends.
5. Market expectations: In certain sectors, like technology, reinvesting profits for growth and innovation is often prioritized over distributing dividends to shareholders.
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