3i Group Ord dividends

Last dividend for 3i Group Ord (III.L) as of March 29, 2024 is 26.50 GBp. The forward dividend yield for III.L as of March 29, 2024 is 1.89%. Average dividend growth rate for stock 3i Group Ord (III.L) for past three years is 30.00%.

Dividend history for stock III.L (3i Group Ord) including historic stock price, dividend growth rate predictions based on history, payout ratio history and split, spin-off and special dividends.

3i Group Ord Dividends

Ex-dividend datePayable dateDividend amount (change) Adjusted PriceClose Price
2023-11-30 2024-01-12 26.5000 GBp (-10.92%) 2232.00 GBp 2232.00 GBp
2023-06-22 2023-07-28 29.7500 GBp (27.96%) 19.68 GBp 19.68 GBp
2022-12-01 2023-01-11 23.2500 GBp (-14.68%) 1315.50 GBp 1315.50 GBp
2022-06-16 2022-07-22 27.2500 GBp (41.56%) 1041.72 GBp 1060.00 GBp
2021-12-02 2022-01-12 19.2500 GBp (-8.33%) 1342.54 GBp 1400.00 GBp
2021-06-17 2021-07-23 21 GBp (20%) 1153.74 GBp 1219.50 GBp
2020-12-03 2021-01-13 17.5000 GBp 1048.43 GBp 1127.00 GBp
2020-06-11 2020-07-17 17.5000 GBp 751.48 GBp 820.80 GBp
2019-12-12 2020-01-08 17.5000 GBp (-12.50%) 937.56 GBp 1045.00 GBp
2019-06-13 2019-07-19 20 GBp (33.33%) 906.04 GBp 1027.00 GBp
2018-12-13 2019-01-09 15 GBp (-31.82%) 677.92 GBp 783.00 GBp
2018-06-14 2018-07-20 22 GBp (175%) 832.33 GBp 979.60 GBp
2017-12-14 2018-01-10 8 GBp (-56.76%) 740.16 GBp 891.00 GBp
2017-06-15 2017-07-21 18.5000 GBp (131.25%) 724.85 GBp 880.50 GBp
2016-12-08 2017-01-04 8 GBp (-50%) 563.54 GBp 699.00 GBp
2016-06-16 2016-07-22 16 GBp (166.67%) 405.67 GBp 509.00 GBp
2015-12-10 2016-01-06 6 GBp (-57.14%) 367.76 GBp 476.00 GBp
2015-06-18 2015-07-24 14 GBp (133.33%) 396.73 GBp 517.00 GBp
2014-12-11 2015-01-07 6 GBp (-54.89%) 328.35 GBp 434.90 GBp
2014-06-18 2014-07-25 13.3000 GBp (98.51%) 295.43 GBp 394.20 GBp
2013-12-11 2014-01-08 6.7000 GBp (24.07%) 264.35 GBp 364.50 GBp
2013-06-19 2013-07-26 5.4000 GBp (100%) 238.87 GBp 333.00 GBp
2012-12-12 2013-01-09 2.7000 GBp (-50%) 149.55 GBp 211.90 GBp
2012-06-20 2012-07-20 5.4000 GBp (100%) 126.14 GBp 181.00 GBp
2011-12-07 2012-01-11 2.7000 GBp (12.50%) 124.94 GBp 184.80 GBp
2011-06-15 2.4000 GBp (100%) 178.14 GBp 267.30 GBp
2010-12-08 1.2000 GBp (-40%) 211.06 GBp 319.50 GBp
2010-06-16 2 GBp (100%) 194.94 GBp 296.20 GBp
2009-12-09 1 GBp (-74.51%) 176.44 GBp 269.90 GBp
2008-12-03 3.9230 GBp (-7.19%) 158.69 GBp 243.64 GBp
2008-07-02 4.2270 GBp (-37.73%) 322.72 GBp 503.46 GBp
2008-06-18 6.7880 GBp (78.68%) 327.71 GBp 515.61 GBp
2007-11-28 3.7990 GBp (-49.66%) 429.68 GBp 684.98 GBp
2007-06-20 7.5460 GBp (77.59%) 548.76 GBp 879.86 GBp
2006-11-29 4.2490 GBp (-49.40%) 441.70 GBp 714.29 GBp
2006-06-21 8.3980 GBp (76.35%) 460.59 GBp 749.35 GBp
2005-11-30 4.7620 GBp (-86.49%) 446.22 GBp 734.20 GBp
2005-07-11 35.2380 GBp (311.90%) 507.80 GBp 840.85 GBp
2005-06-15 8.5550 GBp (75.45%) 366.02 GBp 629.68 GBp
2004-12-01 4.8760 GBp (-40.44%) 343.50 GBp 598.87 GBp
2004-06-16 8.1870 GBp (74.49%) 317.68 GBp 558.39 GBp
2003-12-03 4.6920 GBp (-40.69%) 313.86 GBp 559.77 GBp
2003-06-18 7.9110 GBp (75.49%) 318.66 GBp 573.11 GBp
2002-12-04 4.5080 GBp (-39.50%) 281.47 GBp 513.31 GBp
2002-06-19 7.4510 GBp (65.28%) 354.61 GBp 652.22 GBp
2001-11-28 4.5080 GBp (-39.50%) 428.73 GBp 797.57 GBp
2001-06-13 7.4510 GBp (65.28%) 608.29 GBp 1137.94 GBp
2000-12-04 4.5080 GBp (-35.52%) 640.90 GBp 1206.93 GBp
2000-06-05 6.9910 GBp (65.21%) 635.61 GBp 1201.41 GBp
1999-12-06 4.2316 GBp (-34.29%) 522.57 GBp 993.51 GBp
1999-06-07 6.4394 GBp (62.79%) 341.32 GBp 651.76 GBp
1998-12-07 3.9556 GBp (-32.81%) 265.96 GBp 512.85 GBp
1998-06-15 5.8875 GBp (64.10%) 314.81 GBp 611.75 GBp
1997-12-08 3.5877 GBp (-31.58%) 239.58 GBp 470.08 GBp
1997-06-16 5.2435 GBp (62.86%) 241.97 GBp 478.36 GBp
1996-12-09 3.2197 GBp (-30%) 222.31 GBp 444.32 GBp
1996-06-17 4.5996 GBp (61.29%) 204.71 GBp 412.12 GBp
1995-12-11 2.8517 GBp (-29.55%) 190.27 GBp 387.29 GBp
1995-06-19 4.0476 GBp (57.14%) 161.96 GBp 332.09 GBp
1994-12-19 2.5758 GBp 141.88 GBp 294.47 GBp

III.L

Price: 2809.00GBp

52 week price:
1401.75
2822.00

Dividend Yield: 2.23%

5-year range yield:
2.23%
302.34%

Forward Dividend Yield: 1.89%

Payout Ratio: 1142.24%

Payout Ratio Range:
0.15%
1142.24%

Dividend Per Share: 53.00 GBp

Earnings Per Share: 4.64 GBp

P/E Ratio: 5.07

Exchange: LSE

Sector: Financial Services

Industry: Asset Management

Market Capitalization: 26.7 billion

Average Dividend Frequency: 2

Years Paying Dividends: 30

DGR3: 30.00%

DGR5: 23.68%

DGR10: 30.00%

DGR20: 29.76%

Links: