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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Aon plc 2024-01-31 €0.72 €2.85 0.920%
Aon plc 2023-10-31 €0.71 €2.85 0.920%
Aon plc 2023-07-31 €0.72 €2.85 0.920%
Aon plc 2023-04-28 €0.70 €2.85 0.920%
Aon plc 2023-01-31 €0.64 €2.85 0.920%
Aon plc 2022-10-31 €0.65 €2.85 0.920%
Aon plc 2022-07-29 €0.67 €2.85 0.920%
Aon plc 2022-04-29 €0.67 €2.85 0.920%
Aon plc 2022-01-31 €0.61 €2.85 0.920%
Aon plc 2021-10-29 €0.60 €2.85 0.920%
Aon plc 2021-07-30 €0.60 €2.85 0.920%
Aon plc 2021-04-30 €0.59 €2.85 0.920%
Aon plc 2021-01-29 €0.52 €2.85 0.920%
Aon plc 2020-10-30 €0.51 €2.85 0.920%
Aon plc 2020-07-31 €0.38 €2.85 0.920%
Aon plc 2020-01-31 €0.40 €2.85 0.920%
Aon plc 2019-10-31 €0.40 €2.85 0.920%
Aon plc 2019-07-31 €0.40 €2.85 0.920%
Aon plc 2019-04-30 €0.39 €2.85 0.920%
Aon plc 2019-01-31 €0.35 €2.85 0.920%
Aon plc 2018-10-31 $0.40 €2.85 0.920%
Aon plc 2018-04-30 $0.40 €2.85 0.920%
Aon plc 2018-01-31 €0.29 €2.85 0.920%
Aon plc 2017-10-31 €0.31 €2.85 0.920%
Aon plc 2017-07-28 €0.31 €2.85 0.920%
Aon plc 2017-04-27 €0.33 €2.85 0.920%
Aon plc 2017-01-30 €0.31 €2.85 0.920%
Aon plc 2016-10-28 €0.30 €2.85 0.920%
Aon plc 2016-07-28 €0.30 €2.85 0.920%
Aon plc 2016-04-28 €0.29 €2.85 0.920%