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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
NatWest Group plc 2022-03-17 €0.096 €0.13 3.240%
Hikma Pharmaceuticals 2022-03-17 €0.31 €0.92 3.910%
Persimmon plc 2022-03-10 €2.05 €0.76 3.850%
HSBC Holdings plc 2022-03-10 €0.21 €0.12 1.470%
Rio Tinto plc 2022-03-10 €5.61 €4.46 7.740%
CRH plc 2022-03-10 €0.98 €1.27 1.550%
Land Securities Group plc 2022-03-10 €0.13 €0.25 3.320%
Barclays plc 2022-03-03 €0.064 €0.034 1.240%
Standard Chartered plc 2022-02-24 €0.11 €0.11 1.150%
GSK plc 2022-02-24 €0.37 €0.80 4.030%
AstraZeneca plc 2022-02-24 €2.36 €3.46 2.190%
Unilever plc 2022-02-24 €0.58 €2.04 3.500%
Diageo plc 2022-02-24 €0.47 €1.22 4.130%
Shell plc 2022-02-17 €0.29 €1.59 4.890%
BP plc 2022-02-17 €0.065 €0.35 6.760%
Compass Group plc 2022-01-20 €0.23 €0.25 0.850%
SSE plc 2022-01-13 €0.42 €0.77 3.410%
Sage Group plc 2022-01-13 €0.19 €0.27 2.220%
Next plc 2022-01-13 €2.59 €1.66 1.370%
Ashtead Group plc 2022-01-13 €0.15 €1.23 1.890%
AVEVA Group plc 2022-01-06 €0.21 €0.54 1.490%
BT Group plc 2021-12-30 €0.037 €0.067 4.030%
British American Tobacco PLC 2021-12-23 €0.85 €3.18 9.410%
Halma plc 2021-12-23 €0.12 €0.28 0.890%
United Utilities Group 2021-12-16 €0.20 €0.63 5.160%
Associated British Foods plc 2021-12-16 €0.28 €0.24 0.820%
Burberry Group 2021-12-16 €0.18 €0.50 6.270%
Severn Trent plc 2021-12-02 €0.64 €1.73 5.590%
National Grid plc 2021-12-02 €0.27 €0.74 6.040%
3i Group plc 2021-12-02 €0.30 €0.89 2.330%