MGIC Investment Corp dividends

The current dividend payout for stock MGIC Investment Corp (MTG) as of May 6, 2021 is 0.24 USD. The current dividend yield for MTG as of May 6, 2021 is 1.54%.

Dividend history for stock MTG (MGIC Investment Corp) including historic stock price, payout ratio history and split, spin-off and special dividends.

MGIC Investment Corp Dividends

Ex-dividend datePayable dateDividend amount (change) Adjusted PriceClose Price
2021-05-12 2021-05-27 $0.06 Upcoming dividend
2021-02-16 2021-03-03 0.060 USD 12.80 USD 12.80 USD
2020-11-09 2020-11-25 0.060 USD 11.01 USD 11.06 USD
2020-08-10 2020-08-28 0.060 USD 8.90 USD 8.99 USD
2020-05-08 2020-05-29 0.060 USD 7.01 USD 7.13 USD
2020-02-10 2020-02-28 0.060 USD 13.80 USD 14.16 USD
2019-11-07 2019-11-25 0.060 USD 13.48 USD 13.89 USD
2019-08-29 2019-09-20 0.060 USD (140%) 12.14 USD 12.56 USD
2008-08-06 2008-09-02 0.025 USD 7.69 USD 8.00 USD
2008-05-22 2008-06-16 0.025 USD 11.57 USD 12.07 USD
2008-02-06 2008-03-03 0.025 USD 14.70 USD 15.36 USD
2007-11-07 2007-12-03 0.025 USD (-90%) 18.71 USD 19.59 USD
2007-08-09 2007-09-04 0.250 USD 39.88 USD 41.79 USD
2007-05-18 2007-06-08 0.250 USD 62.63 USD 66.04 USD
2007-02-08 2007-03-01 0.250 USD 63.07 USD 66.76 USD
2006-11-08 2006-12-01 0.250 USD 55.02 USD 58.45 USD
2006-08-09 2006-09-01 0.250 USD 50.88 USD 54.28 USD
2006-05-22 2006-06-09 0.250 USD 61.76 USD 66.18 USD
2006-02-08 2006-03-01 0.250 USD (66.67%) 58.32 USD 62.73 USD
2005-11-08 2005-12-01 0.150 USD 57.22 USD 61.80 USD
2005-08-10 2005-09-01 0.150 USD 62.68 USD 67.86 USD
2005-05-20 2005-06-09 0.150 USD (100%) 55.35 USD 60.05 USD
2005-02-08 2005-03-01 0.075 USD 58.38 USD 63.50 USD
2004-11-08 2004-12-01 0.075 USD 60.36 USD 65.73 USD
2004-08-10 2004-09-01 0.075 USD (97.37%) 62.37 USD 68.00 USD
2004-05-20 2004-06-09 0.038 USD 63.90 USD 69.75 USD
2004-02-09 2004-03-01 0.038 USD 63.99 USD 69.88 USD
2003-11-06 2003-12-01 0.038 USD (52%) 47.15 USD 51.52 USD
2003-08-06 2003-09-02 0.025 USD 49.02 USD 53.60 USD
2003-05-19 2003-06-02 0.025 USD 41.06 USD 44.92 USD
2003-02-06 2003-03-03 0.025 USD 37.46 USD 41.00 USD
2002-11-06 2002-12-02 0.025 USD 38.94 USD 42.65 USD
2002-08-07 2002-09-04 0.025 USD 52.55 USD 57.59 USD
2002-05-14 2002-06-03 0.025 USD 65.95 USD 72.30 USD
2002-02-06 2002-03-01 0.025 USD 57.92 USD 63.52 USD
2001-11-07 2001-12-03 0.025 USD 51.36 USD 56.35 USD
2001-08-08 2001-09-04 0.025 USD 66.92 USD 73.45 USD
2001-05-17 2001-06-01 0.025 USD 61.93 USD 68.00 USD
2001-02-08 2001-03-01 0.025 USD 51.85 USD 56.95 USD
2000-11-08 2000-12-01 0.025 USD 57.67 USD 63.38 USD
2000-08-09 2000-09-01 0.025 USD 52.87 USD 58.13 USD
2000-05-12 2000-06-01 0.025 USD 42.85 USD 47.13 USD
2000-02-10 2000-03-01 0.025 USD 38.68 USD 42.56 USD
1999-11-04 1999-12-01 0.025 USD 52.68 USD 58.00 USD
1999-08-05 1999-09-01 0.025 USD 42.78 USD 47.13 USD
1999-05-14 1999-06-01 0.025 USD 43.16 USD 47.56 USD
1999-02-04 1999-03-01 0.025 USD 33.10 USD 36.50 USD
1998-11-05 1998-12-01 0.025 USD 38.80 USD 42.81 USD
1998-08-06 1998-09-01 0.025 USD 47.95 USD 52.94 USD
1998-05-14 1998-06-01 0.025 USD 55.79 USD 61.63 USD
1998-02-04 1998-03-02 0.025 USD 61.65 USD 68.13 USD
1997-11-05 1997-12-01 0.025 USD 57.00 USD 63.00 USD
1997-08-07 1997-09-02 0.025 USD 47.59 USD 52.63 USD
1997-05-15 1997-06-02 0.025 USD (25%) 39.72 USD 43.94 USD
1997-02-05 1997-03-03 0.020 USD 32.47 USD 35.94 USD
1996-11-06 1996-12-02 0.020 USD 31.94 USD 35.38 USD
1996-08-08 1996-09-03 0.020 USD 28.42 USD 31.50 USD
1996-05-15 1996-06-03 0.020 USD 27.22 USD 30.19 USD
1996-02-07 1996-03-01 0.020 USD 28.27 USD 31.38 USD
1995-11-08 1995-12-01 0.020 USD (-50%) 26.34 USD 29.25 USD
1995-08-11 0.040 USD (100%) 23.29 USD 25.88 USD
1995-08-09 1995-09-01 0.020 USD 23.25 USD 25.88 USD
1995-05-12 1995-06-02 0.020 USD (-50%) 20.82 USD 23.19 USD
1995-05-08 0.040 USD (100%) 19.74 USD 22.00 USD
1995-02-06 1995-03-03 0.020 USD 16.57 USD 18.50 USD
1994-11-04 1994-12-02 0.020 USD 14.42 USD 16.13 USD
1994-08-08 1994-09-02 0.020 USD 12.28 USD 13.75 USD
1994-05-12 1994-06-03 0.020 USD 11.71 USD 13.13 USD
1994-02-04 1994-03-03 0.020 USD 13.81 USD 15.50 USD
1993-11-05 1993-12-02 0.020 USD (14.29%) 14.43 USD 16.22 USD
1993-08-06 1993-09-02 0.018 USD 13.24 USD 14.91 USD
1993-05-12 1993-06-03 0.018 USD 12.73 USD 14.34 USD
1993-02-04 1993-03-04 0.018 USD 12.10 USD 13.66 USD
1992-11-05 0.018 USD 9.32 USD 10.53 USD
1992-08-06 0.018 USD 8.70 USD 9.84 USD
1992-05-12 0.018 USD 7.88 USD 8.94 USD
1992-02-06 0.018 USD 9.08 USD 10.31 USD
1991-11-05 0.018 USD 7.42 USD 8.44 USD

MTG

Price: 13.96USD

52 week range price:
5.93
15.68

Dividend Yield: 1.54%

5-year range yield:
1.54%
3.37%

Forward Dividend Yield: 1.60%

Payout Ratio: 19.35%

Payout Ratio Range:
1.46%
19.35%

Dividend Per Share: 0.24 USD

Earnings Per Share: 1.24 USD

Future Ex-Dividend Date: May 12, 2021

P/E Ratio: 12.29

Exchange: NYQ

Sector: Financial Services

Industry: Insurance—Specialty

Volume: 2.6 million

Ebitda: 801.9 million

Market Capitalization: 5.3 billion

Average Dividend Frequency: 4

Years Paying Dividends: 3

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