Important Information

You are visiting the international Vantage Markets website, distinct from the website operated by Vantage Global Prime LLP
( www.vantagemarkets.co.uk ) which is regulated by the Financial Conduct Authority ("FCA").

This website is managed by Vantage Markets' international entities, and it's important to emphasise that they are not subject to regulation by the FCA in the UK. Therefore, you must understand that you will not have the FCA’s protection when investing through this website – for example:

  • You will not be guaranteed Negative Balance Protection
  • You will not be protected by FCA’s leverage restrictions
  • You will not have the right to settle disputes via the Financial Ombudsman Service (FOS)
  • You will not be protected by Financial Services Compensation Scheme (FSCS)
  • Any monies deposited will not be afforded the protection required under the FCA Client Assets Sourcebook. The level of protection for your funds will be determined by the regulations of the relevant local regulator.

If you would like to proceed and visit this website, you acknowledge and confirm the following:

  • 1.The website is owned by Vantage Markets' international entities and not by Vantage Global Prime LLP, which is regulated by the FCA.
  • 2.Vantage Global Limited, or any of the Vantage Markets international entities, are neither based in the UK nor licensed by the FCA.
  • 3.You are accessing the website at your own initiative and have not been solicited by Vantage Global Limited in any way.
  • 4.Investing through this website does not grant you the protections provided by the FCA.
  • 5.Should you choose to invest through this website or with any of the international Vantage Markets entities, you will be subject to the rules and regulations of the relevant international regulatory authorities, not the FCA.

Vantage wants to make it clear that we are duly licensed and authorised to offer the services and financial derivative products listed on our website. Individuals accessing this website and registering a trading account do so entirely of their own volition and without prior solicitation.

By confirming your decision to proceed with entering the website, you hereby affirm that this decision was solely initiated by you, and no solicitation has been made by any Vantage entity.

I confirm my intention to proceed and enter this website Please direct me to the website operated by Vantage Global Prime LLP, regulated by the FCA in the United Kingdom

By providing your email and proceeding to create an account on this website, you acknowledge that you will be opening an account with Vantage Global Limited, regulated by the Vanuatu Financial Services Commission (VFSC), and not the UK Financial Conduct Authority (FCA).

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Dividend Announcement 13 May 2022

Share CFD dividends for week commencing 16 May 2022

NOTIFICATIONS

Here are the share CFD dividends that will be paid out from 16 May to 20 May 2022.

RegionSymbolIssueNameISINEx-dateAmount per ShareCurrencyTax RateEvent ID
AUMQGMacquarie Group LtdAU000000MQG116 May 20223.500AUD302512531
EUAIAir Liquide S.AFR000012007316 May 20222.900EUR02449751
HKTECHTRONICTechtronic Industries Co. Ltd.HK066901344018 May 20221.000HKD02461974
USCVXChevron Corp.US166764100518 May 20221.420USD302501691
USMSFTMicrosoft CorporationUS594918104518 May 20220.620USD302469030
AUWBCWestpac Banking CorpAU000000WBC119 May 20220.871429AUD302513079
EUSAPSap SEDE000716460019 May 20222.450EUR26.3752455064
EUUNAUnilever plcGB00B10RZP7819 May 20220.359GBP02442961
HKUNICOMChina Unicom (Hong Kong) LtdHK000004993919 May 20220.096CNY02467888
UKTESCOTesco plcGB00BLGZ986219 May 20220.077GBP02493391
UKSHELLShell PlcGB00BP6MXD8419 May 20220.250USD02440021
UKULVRUnilever plcGB00B10RZP7819 May 20220.359GBP02442961
UKGSKGlaxosmithkline plcGB000925288219 May 20220.140GBP02361691
USJDJD.com IncUS47215P106619 May 20221.260USD302513046
USMMM3M Co.US88579Y101019 May 20221.490USD302517987
USULUnilever plcUS904767704519 May 20220.4555USD302502941
EUDBKDeutsche Bank AGDE000514000820 May 20220.200EUR26.3752433301
HKCKICK Infrastructure Holdings LimitedBMG2178K100920 May 20221.810HKD02469790
HKTENCENTTencent Holdings Ltd.KYG87572163420 May 20221.600HKD02474408

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