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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Legal & General Group plc 2024-04-25 €0.17 €0.24 8.490%
London Stock Exchange Group plc 2024-04-18 €1.17 €1.70 1.620%
Lloyds Banking Group 2024-04-11 €0.027 €0.027 4.540%
Lloyds Banking Group 2024-04-11 €0.027 €0.027 4.540%
Prudential plc 2024-04-01 €0.17 €0.17 1.960%
Prudential plc 2024-04-01 €0.17 €0.17 1.960%
Prudential plc 2024-03-28 €0.17 €0.17 1.960%
Prudential plc 2024-03-28 €0.17 €0.17 1.960%
NatWest Group plc 2024-03-14 €0.13 €0.13 3.980%
HSBC Holdings plc 2024-03-07 €0.36 €0.36 4.700%
Standard Chartered plc 2024-03-07 €0.25 €0.25 3.050%
HSBC Holdings plc 2024-03-07 €0.36 €0.36 4.700%
HSBC Holdings plc 2024-03-07 €0.36 €0.36 4.700%
Barclays plc 2024-02-29 €0.078 €0.078 3.260%
Barclays plc 2024-02-29 €0.078 €0.078 3.260%
Hargreaves Lansdown 2024-02-29 €0.15 €0.15 1.810%
Aon plc 2024-01-31 €0.72 €2.85 1.000%
3i Group plc 2023-11-30 €0.38 €0.82 2.440%
Hargreaves Lansdown 2023-11-16 €0.33 €0.15 1.810%
HSBC Holdings plc 2023-11-09 €0.11 €0.36 4.700%
HSBC Holdings plc 2023-11-09 €0.11 €0.36 4.700%
HSBC Holdings plc 2023-11-09 €0.11 €0.36 4.700%
Aon plc 2023-10-31 €0.71 €2.85 1.000%
Prudential plc 2023-09-07 €0.073 €0.17 1.960%
Prudential plc 2023-09-07 €0.073 €0.17 1.960%
Legal & General Group plc 2023-08-24 €0.067 €0.24 8.490%
London Stock Exchange Group plc 2023-08-17 €0.53 €1.70 1.620%
Barclays plc 2023-08-10 €0.040 €0.078 3.260%
Barclays plc 2023-08-10 €0.040 €0.078 3.260%
HSBC Holdings plc 2023-08-10 €0.12 €0.36 4.700%