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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
HSBC Holdings plc 2021-03-11 €0.17 €0.36 4.350%
Persimmon plc 2021-03-11 €1.46 €1.10 6.390%
Rio Tinto plc 2021-03-04 €3.35 €3.97 6.280%
Standard Chartered plc 2021-03-04 €0.10 €0.25 2.740%
Diageo plc 2021-02-25 €0.32 €1.20 3.860%
AstraZeneca plc 2021-02-25 €1.59 €3.32 2.220%
Barclays plc 2021-02-25 €0.016 €0.078 3.060%
Unilever plc 2021-02-25 €0.43 €2.13 4.140%
GSK plc 2021-02-18 €0.27 €0.84 4.370%
Shell plc 2021-02-18 €0.14 €1.56 4.770%
Imperial Brands plc 2021-02-18 €0.56 €1.72 7.340%
Tesco plc 2021-02-16 €0.58 €0.18 4.770%
Hargreaves Lansdown 2021-02-11 €0.14 €0.15 1.200%
SSE plc 2021-01-14 €0.27 €1.27 5.940%
Ashtead Group plc 2021-01-14 €0.081 €1.16 1.730%
Experian plc 2021-01-07 €0.16 €0.65 1.510%
British American Tobacco PLC 2020-12-17 €0.58 €3.30 11.520%
Vodafone Group 2020-12-17 €0.050 €0.10 12.350%
3i Group plc 2020-12-03 €0.26 €0.82 2.370%
Imperial Brands plc 2020-11-26 €0.53 €1.72 7.340%
Persimmon plc 2020-11-25 €0.78 €1.10 6.390%
National Grid plc 2020-11-25 €0.19 €0.74 6.890%
GSK plc 2020-11-12 €0.21 €0.84 4.370%
Shell plc 2020-11-12 €0.14 €1.56 4.770%
Unilever plc 2020-10-29 €0.42 €2.13 4.140%
BAE Systems plc 2020-10-22 €0.10 €0.43 2.560%
Tesco plc 2020-10-15 €0.045 €0.18 4.770%
WPP plc 2020-10-08 €0.11 €0.29 3.150%
British American Tobacco PLC 2020-10-01 €0.58 €3.30 11.520%
Smith & Nephew plc 2020-10-01 €0.16 €0.54 4.410%