SEI Institutional Investments Trust Large Cap Index Fund Class A (LCIAX) Dividends

Last dividend for SEI Institutional Investments Trust Large Cap Index Fund Class A (LCIAX) as of July 2, 2026 is 0.62 USD. The forward dividend yield for LCIAX as of July 2, 2026 is 1.14%. Average dividend growth rate for stock SEI Institutional Investments Trust Large Cap Index Fund Class A (LCIAX) for past three years is 11.42%.

Dividend history for stock LCIAX (SEI Institutional Investments Trust Large Cap Index Fund Class A) including historic stock price, dividend growth rate predictions based on history and split, spin-off and special dividends.

SEI Institutional Investments Trust Large Cap Index Fund Class A Dividends

Ex-dividend datePayable dateDividend amount (change) Adjusted PriceClose Price
2026-04-07 2026-04-08 0.6170 USD (3.06%) 191.90 USD 191.90 USD
2025-12-30 2025-12-31 0.5987 USD (-97.88%) 198.51 USD 198.51 USD
2025-12-18 2025-12-19 28.2099 USD (4198.98%) 198.51 USD 198.51 USD
2025-10-06 2025-10-07 0.6562 USD (-8.44%) 227.01 USD 227.01 USD
2025-07-08 2025-07-09 0.7167 USD (16.63%) 210.43 USD 211.05 USD
2025-04-04 2025-04-07 0.6145 USD (-19.05%) 184.23 USD 185.41 USD
2024-12-30 2024-12-31 0.7591 USD (-97.10%) 194.20 USD 196.11 USD
2024-12-18 2024-12-19 26.2004 USD (3445.39%) 144.77 USD 196.11 USD
2024-10-07 2024-10-08 0.7390 USD (6.25%) 188.52 USD 215.68 USD
2024-07-09 2024-07-09 0.6955 USD (-0.01%) 181.64 USD 208.52 USD
2024-04-05 2024-04-08 0.6956 USD (8.30%) 165.52 USD 190.64 USD
2023-12-28 2023-12-29 0.6423 USD (-96.95%) 156.73 USD 181.17 USD
2023-12-15 2023-12-18 21.0597 USD (2812.02%) 101.82 USD 181.17 USD
2023-10-05 2023-10-06 0.7232 USD (13.51%) 136.51 USD 176.90 USD
2023-07-06 2023-07-07 0.6371 USD (-12.85%) 149.48 USD 194.48 USD
2023-04-05 2023-04-06 0.7310 USD (3.51%) 134.77 USD 175.93 USD
2022-12-29 2022-12-30 0.7062 USD (-97.07%) 123.89 USD 162.42 USD
2022-12-16 2022-12-19 24.1431 USD (2880.63%) 71.06 USD 162.42 USD
2022-10-06 2022-10-07 0.8100 USD (17.05%) 125.01 USD 188.59 USD
2022-07-07 2022-07-08 0.6920 USD (-11.73%) 132.65 USD 201.00 USD
2022-04-06 2022-04-07 0.7840 USD (1.08%) 132.62 USD 201.70 USD
2021-12-30 2021-12-31 0.7756 USD (-95.84%) 153.46 USD 234.22 USD
2021-12-16 2021-12-17 18.6341 USD (2158.68%) 75.19 USD 234.22 USD
2021-10-05 2021-10-06 0.8250 USD (10.74%) 149.63 USD 247.51 USD
2021-07-07 2021-07-08 0.7450 USD (-7.34%) 142.53 USD 236.62 USD
2021-04-06 2021-04-07 0.8040 USD (-2.43%) 135.61 USD 225.84 USD
2020-12-30 2020-12-31 0.8240 USD (-66.54%) 121.52 USD 203.12 USD
2020-12-11 2020-12-14 2.4625 USD (269.74%) 54.76 USD 203.12 USD
2020-10-06 2020-10-07 0.6660 USD (1.06%) 104.36 USD 177.31 USD
2020-07-07 2020-07-08 0.6590 USD (-17.83%) 103.42 USD 176.35 USD
2020-04-07 2020-04-08 0.8020 USD (8.53%) 90.79 USD 155.42 USD
2019-12-30 2019-12-31 0.7390 USD (-97.48%) 100.52 USD 173.11 USD
2019-12-13 2019-12-16 29.3607 USD (3074.13%) 44.74 USD 173.11 USD
2019-10-08 2019-10-09 0.9250 USD (5.35%) 94.13 USD 190.86 USD
2019-07-09 2019-07-10 0.8780 USD 92.30 USD 188.09 USD
2019-04-09 2019-04-10 0.8780 USD (-25.97%) 90.76 USD 185.81 USD
2018-12-28 2018-12-31 1.1860 USD (-95.62%) 76.52 USD 157.41 USD
2018-12-14 2018-12-17 27.1046 USD (2506.21%) 28.18 USD 157.41 USD
2018-10-04 2018-10-05 1.0400 USD (-10.65%) 82.75 USD 199.21 USD
2018-07-09 2018-07-10 1.1640 USD (34.57%) 85.78 USD 207.49 USD
2018-04-06 2018-04-09 0.8650 USD (-41.99%) 80.33 USD 195.42 USD
2017-12-28 2017-12-29 1.4910 USD (-66.62%) 80.63 USD 197.01 USD
2017-12-14 2017-12-15 4.4671 USD (366.29%) 24.91 USD 197.01 USD
2017-10-05 2017-10-06 0.9580 USD (18.13%) 77.39 USD 194.84 USD
2017-07-07 2017-07-10 0.8110 USD (79.42%) 73.87 USD 186.89 USD
2017-04-07 2017-04-10 0.4520 USD (-50.22%) 71.03 USD 180.52 USD
2016-12-29 2016-12-30 0.9080 USD (-55.69%) 66.31 USD 168.95 USD
2016-12-15 2016-12-16 2.0491 USD (147.18%) 20.02 USD 168.95 USD
2016-10-06 2016-10-07 0.8290 USD (28.73%) 62.62 USD 162.32 USD
2016-07-07 2016-07-08 0.6440 USD (-30.38%) 63.73 USD 166.03 USD
2016-04-07 2016-04-08 0.9250 USD (971.97%) 60.20 USD 157.46 USD
2015-12-30 2015-12-31 0.0863 USD (-98.70%) 59.18 USD 155.71 USD
2015-12-11 2015-12-14 6.6276 USD (697.55%) 17.65 USD 155.71 USD
2015-10-05 2015-10-06 0.8310 USD (17.71%) 60.12 USD 165.76 USD
2015-07-08 2015-07-09 0.7060 USD (807.11%) 60.85 USD 168.66 USD
2015-04-02 2015-04-06 0.0778 USD (-90.84%) 60.06 USD 167.17 USD
2014-12-30 2014-12-31 0.8500 USD (-91.82%) 58.70 USD 164.15 USD
2014-12-10 10.3950 USD (1227.59%) 16.77 USD 164.15 USD
2014-10-03 2014-10-06 0.7830 USD (-4.16%) 57.40 USD 171.51 USD
2014-07-03 2014-07-07 0.8170 USD (15.59%) 54.77 USD 164.43 USD
2014-03-28 2014-03-31 0.7068 USD (-16.10%) 14.18 USD 159.76 USD
2013-12-30 2013-12-31 0.8424 USD (-66.08%) 13.89 USD 157.27 USD
2013-12-11 2013-12-12 2.4832 USD (215.69%) 13.89 USD 157.27 USD
2013-10-03 2013-10-04 0.7866 USD (14.65%) 13.16 USD 152.21 USD
2013-07-03 2013-07-05 0.6861 USD (11.47%) 12.53 USD 145.68 USD
2013-03-27 2013-03-28 0.6155 USD (-24.87%) 11.58 USD 135.32 USD
2012-12-28 2012-12-31 0.8193 USD (-29.64%) 10.44 USD 122.52 USD
2012-12-12 2012-12-12 1.1645 USD (95.55%) 10.44 USD 122.52 USD
2012-10-03 2012-10-04 0.5955 USD (2.78%) 10.25 USD 122.27 USD
2012-07-05 2012-07-06 0.5794 USD (4.17%) 9.93 USD 118.94 USD
2012-03-29 2012-03-30 0.5562 USD (-2.54%) 10.13 USD 122.01 USD
2011-12-29 2011-12-30 0.5707 USD (18.80%) 8.98 USD 108.58 USD
2011-10-05 2011-10-06 0.4804 USD (-5.64%) 8.92 USD 108.52 USD
2011-07-06 2011-07-07 0.5091 USD (-0.39%) 9.20 USD 112.46 USD
2011-03-30 2011-03-31 0.5111 USD (-15.24%) 9.40 USD 115.36 USD
2009-12-30 0.6030 USD (39.26%) 29.04 USD 95.86 USD
2009-10-05 0.4330 USD (4.84%) 26.77 USD 88.91 USD
2009-07-06 0.4130 USD (-18.06%) 25.37 USD 84.67 USD
2009-03-30 0.5040 USD (1.20%) 20.24 USD 67.91 USD
2008-12-30 0.4980 USD (-6.39%) 22.59 USD 76.34 USD
2008-10-03 0.5320 USD (-10.89%) 24.14 USD 82.14 USD
2008-07-03 0.5970 USD (7.76%) 31.86 USD 109.03 USD
2008-03-28 0.5540 USD (-26.23%) 32.87 USD 113.11 USD
2007-12-27 0.7510 USD (21.13%) 36.31 USD 125.57 USD
2007-10-02 0.6200 USD 39.23 USD 136.46 USD

LCIAX

Price: $218.31

52 week price:
184.87
229.63

Dividend Yield: 14.07%

5-year range yield:
1.45%
169.88%

Forward Dividend Yield: 1.14%

Dividend Per Share: 2.47 USD

Earnings Per Share: 7.36 USD

P/E Ratio: 26.64

Exchange: NAS

Sector: Financial Services

Industry: Asset Management

Market Capitalization: 1.9 billion

Average Dividend Frequency: 5

Years Paying Dividends: 16

DGR3: 11.42%

DGR5: 30.00%

DGR10: 30.00%

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