Administradora de Fondos de Pensiones Provida S.A. dividends
Last dividend for Administradora de Fondos de Pensiones Provida S.A. (PROVIDA.SN) as of Sept. 28, 2023 is 135 CLP. The forward dividend yield for PROVIDA.SN as of Sept. 28, 2023 is 23.40%. Average dividend growth rate for stock Administradora de Fondos de Pensiones Provida S.A. (PROVIDA.SN) for past three years is -75.95%.
Dividend history for stock PROVIDA.SN (Administradora de Fondos de Pensiones Provida S.A.) including historic stock price, dividend growth rate predictions based on history and split, spin-off and special dividends.
Administradora de Fondos de Pensiones Provida S.A. Dividends
Ex-dividend date | Payable date | Dividend amount (change) | Adjusted Price | Close Price |
---|---|---|---|---|
2023-05-22 | 135.000 CLP (-32.50%) | 2799.00 CLP | 2799.00 CLP | |
2023-02-02 | 200.000 CLP | 1600.50 CLP | 1600.50 CLP | |
2023-02-01 | 200.000 CLP (33.33%) | 1400.50 CLP | 1600.50 CLP | |
2022-09-27 | 150.000 CLP | 728.64 CLP | 951.61 CLP | |
2022-09-26 | 150.000 CLP (62.16%) | 696.70 CLP | 1059.90 CLP | |
2022-05-16 | 92.500 CLP (-56.57%) | 552.45 CLP | 961.22 CLP | |
2021-12-15 | 213.000 CLP (192.58%) | 471.38 CLP | 907.49 CLP | |
2021-05-24 | 72.800 CLP (-55.34%) | 654.07 CLP | 1645.40 CLP | |
2021-03-22 | 163.000 CLP (-35.83%) | 683.86 CLP | 1800.00 CLP | |
2020-10-21 | 254.000 CLP (137.38%) | 820.96 CLP | 2376.00 CLP | |
2020-05-25 | 107.000 CLP (-60.78%) | 833.17 CLP | 2700.00 CLP | |
2019-05-27 | 272.850 CLP (2.19%) | 858.24 CLP | 2896.00 CLP | |
2018-05-22 | 267.000 CLP | 896.37 CLP | 896.37 CLP | |
2018-05-17 | 267.000 CLP (734.38%) | 991.44 CLP | 3650.00 CLP | |
2017-05-25 | 32.000 CLP (-90.36%) | 915.46 CLP | 3650.00 CLP | |
2017-05-22 | 332.000 CLP (462.71%) | 953.09 CLP | 3800.00 CLP | |
2016-05-23 | 59.000 CLP (-25.42%) | 796.57 CLP | 3480.00 CLP | |
2015-05-25 | 79.107 CLP (-37.64%) | 720.70 CLP | 3201.00 CLP | |
2014-05-19 | 126.845 CLP (52.97%) | 772.93 CLP | 3520.00 CLP | |
2013-08-30 | 82.921 CLP (-66.63%) | 659.38 CLP | 3115.10 CLP | |
2013-05-27 | 248.510 CLP (148.51%) | 597.66 CLP | 2898.90 CLP | |
2012-10-25 | 100.000 CLP (-39.98%) | 646.87 CLP | 3386.60 CLP | |
2012-05-28 | 166.603 CLP (169.28%) | 454.55 CLP | 2450.00 CLP | |
2011-10-24 | 61.870 CLP (173.88%) | 358.67 CLP | 2061.00 CLP | |
2011-05-23 | 22.590 CLP (-62.58%) | 160.45 CLP | 950.00 CLP | |
2010-10-25 | 60.370 CLP (-45.42%) | 156.64 CLP | 950.00 CLP | |
2010-05-24 | 110.610 CLP (92.10%) | 146.68 CLP | 146.68 CLP | |
2009-10-26 | 57.580 CLP (111.07%) | 146.68 CLP | 146.68 CLP | |
2008-05-19 | 27.280 CLP (22.72%) | 146.68 CLP | 146.68 CLP | |
2007-10-22 | 22.230 CLP (5.76%) | 146.68 CLP | 146.68 CLP | |
2007-05-22 | 21.020 CLP (11.04%) | 146.68 CLP | 146.68 CLP | |
2006-10-13 | 18.930 CLP (-70.83%) | 146.68 CLP | 146.68 CLP | |
2006-05-08 | 64.890 CLP (118.63%) | 146.68 CLP | 146.68 CLP | |
2005-10-17 | 29.680 CLP (-32.56%) | 146.68 CLP | 146.68 CLP | |
2005-05-16 | 44.011 CLP (46.70%) | 146.68 CLP | 146.68 CLP | |
2004-10-18 | 30.000 CLP (-43.69%) | 146.68 CLP | 146.68 CLP | |
2004-05-17 | 53.280 CLP (122%) | 146.68 CLP | 146.68 CLP | |
2003-10-20 | 24.000 CLP (-55.65%) | 146.68 CLP | 146.68 CLP | |
2003-05-19 | 54.120 CLP (93.29%) | 146.68 CLP | 146.68 CLP | |
2002-10-14 | 28.000 CLP (-37.96%) | 146.68 CLP | 146.68 CLP | |
2002-05-20 | 45.130 CLP (94.19%) | 146.68 CLP | 146.68 CLP | |
2001-10-15 | 23.240 CLP (-24.40%) | 146.68 CLP | 146.68 CLP | |
2001-05-11 | 30.740 CLP (103.58%) | 146.68 CLP | 146.68 CLP | |
2000-10-23 | 15.100 CLP (19.84%) | 121.98 CLP | 121.98 CLP | |
2000-05-05 | 12.600 CLP | 111.17 CLP | 111.17 CLP |
PROVIDA.SN
Price: 2308.00CLP
Dividend Yield: 13.79%
Forward Dividend Yield: 23.40%
Dividend Per Share: 540.00 CLP
P/E Ratio: 6.99
Exchange: SGO
Sector: Financial Services
Industry: Asset Management
Volume: 377
Market Capitalization: 656.0 billion
Average Dividend Frequency: 2
Years Paying Dividends: 24
DGR3: -75.95%
DGR5: -27.54%
DGR10: -74.57%