October 22, 2025
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Gresham House Energy Storage Fund plc
/ Dividends
Declaration date
Ex date
Record date
Payment date
Amount
May 16, 2019
May 16, 2019
May 17, 2019
June 7, 2019
£1.40
September 5, 2019
September 5, 2019
September 6, 2019
September 20, 2019
£1.10
December 5, 2019
December 5, 2019
December 6, 2019
December 20, 2019
£1.00
February 27, 2020
February 27, 2020
February 28, 2020
March 20, 2020
£1.00
May 21, 2020
May 21, 2020
May 22, 2020
June 12, 2020
£1.75
September 10, 2020
September 10, 2020
September 11, 2020
September 25, 2020
£1.75
November 5, 2020
November 5, 2020
November 6, 2020
December 11, 2020
£1.75
March 4, 2021
March 4, 2021
March 5, 2021
March 26, 2021
£1.75
May 13, 2021
May 13, 2021
May 14, 2021
June 4, 2021
£1.75
July 8, 2021
July 8, 2021
July 9, 2021
July 30, 2021
£1.75
November 25, 2021
November 25, 2021
November 26, 2021
December 17, 2021
£1.75
March 3, 2022
March 3, 2022
March 4, 2022
March 25, 2022
£1.75
May 12, 2022
May 12, 2022
May 13, 2022
May 27, 2022
£1.75
October 6, 2022
October 6, 2022
October 7, 2022
October 28, 2022
£1.75
November 24, 2022
November 24, 2022
November 25, 2022
December 16, 2022
£1.75
March 2, 2023
March 2, 2023
March 3, 2023
March 27, 2023
£1.75
May 18, 2023
May 18, 2023
May 19, 2023
June 8, 2023
£1.8375
September 14, 2023
September 14, 2023
September 15, 2023
September 29, 2023
£1.8375
December 7, 2023
December 7, 2023
December 8, 2023
December 21, 2023
£1.8375
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