AVON PROTECTION PLC ORD #1 dividends

Last dividend for AVON PROTECTION PLC ORD #1 (AVON.L) as of April 29, 2024 is 15.30 GBp. The forward dividend yield for AVON.L as of April 29, 2024 is 2.59%. Average dividend growth rate for stock AVON PROTECTION PLC ORD #1 (AVON.L) for past three years is 30.00%.

Dividend history for stock AVON.L (AVON PROTECTION PLC ORD #1) including historic stock price, dividend growth rate predictions based on history, payout ratio history and split, spin-off and special dividends.

AVON PROTECTION PLC ORD #1 Dividends

Ex-dividend datePayable dateDividend amount (change) Adjusted PriceClose Price
2024-02-08 2024-03-08 15.3000 GBp (6.99%) 893.00 GBp 893.00 GBp
2023-08-10 2023-09-08 14.3000 GBp (-53.27%) 880.00 GBp 880.00 GBp
2023-02-09 2023-03-10 30.6000 GBp (113.99%) 966.00 GBp 966.00 GBp
2022-08-04 2022-09-02 14.3000 GBp (-53.27%) 1022.00 GBp 995.69 GBp
2022-02-10 2022-03-11 30.6000 GBp (113.99%) 1144.00 GBp 1102.22 GBp
2021-08-05 2021-09-03 14.3000 GBp (-20.82%) 2780.00 GBp 2627.16 GBp
2021-02-11 2021-03-12 18.0600 GBp (100.22%) 3180.00 GBp 2994.18 GBp
2020-08-06 2020-09-04 9.0200 GBp (-35.06%) 3465.00 GBp 3244.03 GBp
2020-02-13 2020-03-13 13.8900 GBp (100.14%) 2675.00 GBp 2497.91 GBp
2019-08-08 2019-09-06 6.9400 GBp (-35.02%) 1562.00 GBp 1451.22 GBp
2019-02-14 2019-03-15 10.6800 GBp (100%) 1290.00 GBp 1193.22 GBp
2018-08-09 2018-09-07 5.3400 GBp (-34.96%) 1390.00 GBp 1274.99 GBp
2018-02-15 2018-03-16 8.2100 GBp (99.76%) 1180.00 GBp 1078.33 GBp
2017-08-10 2017-09-08 4.1100 GBp (-34.97%) 1005.00 GBp 912.17 GBp
2017-02-16 2017-03-17 6.3200 GBp (100%) 995.00 GBp 899.43 GBp
2016-08-05 3.1600 GBp 861.00 GBp 773.36 GBp
2016-08-04 2016-09-05 3.1600 GBp (-34.98%) 7.41 GBp 8.25 GBp
2016-02-18 2016-03-18 4.8600 GBp (100%) 775.00 GBp 693.54 GBp
2015-08-06 2015-09-04 2.4300 GBp (-35.03%) 838.00 GBp 745.25 GBp
2015-02-19 2015-03-20 3.7400 GBp (100%) 788.50 GBp 699.12 GBp
2014-08-06 2014-09-05 1.8700 GBp (-35.07%) 664.50 GBp 586.38 GBp
2014-02-19 2014-03-21 2.8800 GBp (80%) 654.50 GBp 575.92 GBp
2013-08-07 2013-09-06 1.6000 GBp (-40.01%) 495.75 GBp 434.10 GBp
2013-02-13 2013-03-15 2.6670 GBp (122.25%) 422.00 GBp 368.34 GBp
2012-08-08 2012-09-07 1.2000 GBp (-40%) 300.00 GBp 260.19 GBp
2012-02-08 2 GBp (80.02%) 304.00 GBp 262.62 GBp
2011-08-10 2011-09-09 1.1110 GBp (-33.35%) 260.00 GBp 223.16 GBp
2011-03-09 2011-04-08 1.6670 GBp (-65.27%) 232.50 GBp 198.69 GBp
2008-01-09 4.8000 GBp (29.73%) 159.50 GBp 135.33 GBp
2007-06-06 3.7000 GBp (-22.92%) 186.50 GBp 153.52 GBp
2007-01-10 4.8000 GBp (29.73%) 168.50 GBp 136.00 GBp
2006-06-07 3.7000 GBp (-22.92%) 179.50 GBp 140.92 GBp
2006-01-11 4.8000 GBp (29.73%) 158.50 GBp 121.89 GBp
2005-06-08 3.7000 GBp (-22.92%) 183.50 GBp 136.98 GBp
2005-01-12 4.8000 GBp (29.73%) 197.50 GBp 144.58 GBp
2004-06-09 3.7000 GBp (-17.78%) 211.50 GBp 151.16 GBp
2004-01-14 4.5000 GBp (28.57%) 236.00 GBp 165.76 GBp
2003-06-04 3.5000 GBp (-12.50%) 166.50 GBp 114.76 GBp
2003-01-08 4 GBp (14.29%) 165.00 GBp 111.41 GBp
2002-06-05 3.5000 GBp 184.00 GBp 121.42 GBp
2002-01-16 3.5000 GBp 114.00 GBp 73.87 GBp
2001-06-06 3.5000 GBp (-79.65%) 140.50 GBp 88.32 GBp
2000-12-27 17.2000 GBp (145.71%) 208.50 GBp 127.87 GBp
2000-06-05 7 GBp (-59.30%) 231.50 GBp 131.07 GBp
1999-12-29 17.2000 GBp (145.71%) 395.00 GBp 216.26 GBp
1999-05-24 7 GBp (-56.79%) 500.00 GBp 262.40 GBp
1998-12-21 16.2000 GBp (145.45%) 537.50 GBp 278.13 GBp
1998-05-18 6.6000 GBp (-56%) 683.50 GBp 342.51 GBp
1997-12-15 15 GBp (143.90%) 621.00 GBp 308.24 GBp
1997-06-02 6.1500 GBp (-55.27%) 613.50 GBp 297.35 GBp
1996-12-23 13.7500 GBp (139.13%) 711.50 GBp 341.45 GBp
1996-06-03 5.7500 GBp (-53.44%) 627.00 GBp 295.03 GBp
1995-12-18 12.3500 GBp (130.84%) 488.00 GBp 227.54 GBp
1995-06-05 5.3500 GBp (-53.48%) 507.00 GBp 230.57 GBp
1994-12-19 11.5000 GBp (130%) 468.00 GBp 210.60 GBp
1994-06-06 5 GBp (-56.52%) 594.00 GBp 260.88 GBp
1993-12-13 11.5000 GBp (133.61%) 475.00 GBp 206.88 GBp
1993-05-24 4.9226 GBp (-56.52%) 468.58 GBp 199.24 GBp
1992-12-14 11.3221 GBp 384.24 GBp 161.68 GBp

AVON.L

Price: £11.80

52 week price:
582.00
1232.00

Dividend Yield: 0.00%

5-year range yield:
0.00%
6.34%

Forward Dividend Yield: 2.59%

Payout Ratio: -7116.28%

Payout Ratio Range:
-7116.28%
7333.33%

Dividend Per Share: 30.60 GBp

Earnings Per Share: -0.43 GBp

P/E Ratio: -21.05

Exchange: LSE

Sector: Industrials

Industry: Aerospace & Defense

Market Capitalization: 331.8 million

Average Dividend Frequency: 2

Years Paying Dividends: 14

DGR3: 30.00%

DGR5: 30.00%

DGR10: 29.77%

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