About

Nippon Accommodations Fund Inc.

country: Japan

currency: JPY

industry: Real Estate

website: http://www.naf-r.jp

ISIN:JP3046440008

exchange: Tokyo

dividend yield: 3.92%
(calculation: dividend last fiscal year)

stock price: JPY 115,000.000
(19 March 2025)


percentage off 3 year high: -17.4%

 

payout frequency: semi-annually

payout month(s): May November

withholding tax rate: 20.0%

 

fiscal year (Aug.)

dividends per share
dividend growth rate
special dividend



yield high
yield low


2024

4,504.6
5.1%




4.0%
3.3%

2023

4,284.6
3.1%




3.8%
3.1%

2022

4,156.8
3.3%




3.5%
3.0%

2021

4,023.0
-0.2%




3.7%
2.9%

2020

4,030.0
0.0%




4.6%
2.8%

2019

4,031.0
9.9%




4.0%
3.0%

2018

3,668.0
8.4%




4.3%
3.4%

2017

3,385.0
4.7%




4.0%
3.3%

2016

3,233.2
3.2%




3.2%
2.3%

2015

3,134.4
3.7%




4.2%
3.1%


footnotes:
n.m. = not meaningful


dividends per share