A2 Finance

Allianz Dividend 2024

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Summary News
ALV:XETRA
Div.Rating 4.2
Dividend Yield Trailing
0.00%
Dividend Yield Forward
7.58%
Payout Ratio
53.10 %
Average Yield, 5y
5.01%
Payout Stability
100 %
Payout Growth Stability
40 %
0M6S:LSE
Div.Rating 4.3
Dividend Yield Trailing
6.27%
Dividend Yield Forward
6.27%
Payout Ratio
0.46 %
Average Yield, 5y
0.05%
Payout Stability
100 %
Payout Growth Stability
20 %

Latest updated dividend data: 11 May 22:53

Dividend History

ALV:XETRA

Statistics for 5 years: 2019-2024

  • €10.08 Average Dividend
  • €10.08 Average Dividends per Year
  • 5.17% Average Dividend Yield
  • 5.01% Average Annual Dividend Yield
  • 1.0 Frequency of payments, how many times a year
  • 2.0 Duration of growth, number of years
  • 100 % Payout Stability
  • 40 % Payout Growth Stability
  • 26.67 % Dividend Growth, Simple
  • 4.84 % Dividend Growth, CAGR
  • €9 (2019-05-09) Minimum
  • €11.4 (2023-05-05) Maximum
Ex-Dividend Date Payout Amount Yield Pay Date Record Date Source
2023-05-05 €11.4 5.28% EOD
2022-05-05 €10.8 5.41% EOD
2021-05-06 €9.6 4.51% EOD
2020-05-07 €9.6 6.11% EOD
2019-05-09 €9 4.53% EOD
2018-05-10 €8 4.17% EOD
2017-05-04 €7.6 4.37% EOD
2016-05-05 €7.3 5.22% EOD
2015-05-07 €6.85 4.64% EOD
2014-05-08 €5.3 4.36% EOD
2013-05-08 €4.5 3.83% EOD
2012-05-10 €4.5 5.63% EOD
2011-05-05 €4.5 4.48% EOD
2010-05-06 €4.1 5.2% EOD
2009-04-30 €3.5 5.02% EOD
2008-05-22 €5.5 4.58% EOD
2007-05-03 €3.8 2.33% EOD
2006-05-04 €2 1.53% EOD
2005-05-05 €1.75 1.85% EOD
2004-05-06 €1.5 1.72% EOD
2003-04-30 €1.5 2.37% EOD
2002-06-13 €1.33705 0.63% EOD
2001-07-12 €1.33705 0.41% EOD
2000-07-13 €1.11421 0.3% EOD
1999-07-08 €1.00264 0.35% EOD
1998-07-09 €0.86592 0.26% EOD
1997-07-11 €0.76107 0.36% EOD
1996-10-08 €0.71631 0.05% EOD
1995-10-06 €0.67154 0.05% EOD
1994-10-07 €0.64385 0.06% EOD
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0M6S:LSE

Statistics for 5 years: 2018-2023

  • £0.094 Average Dividend
  • £0.094 Average Dividends per Year
  • 0.05% Average Dividend Yield
  • 0.05% Average Annual Dividend Yield
  • 1.0 Frequency of payments, how many times a year
  • 1.0 Duration of growth, number of years
  • 100 % Payout Stability
  • 20 % Payout Growth Stability
  • 35.00 % Dividend Growth, Simple
  • 6.19 % Dividend Growth, CAGR
  • £0.08 (2018-05-10) Minimum
  • £0.108 (2022-05-05) Maximum
Ex-Dividend Date Payout Amount Yield Pay Date Record Date Source
2023-05-05 €11.4 5.29% EOD
2022-05-05 £0.108 0.05% EOD
2021-05-06 £0.096 0.05% EOD
2020-05-07 £0.096 0.06% EOD
2019-05-09 £0.09 0.05% EOD
2018-05-10 £0.08 0.04% EOD
2017-05-04 £0.076 0.04% EOD
2016-05-05 £0.073 0.05% EOD
2015-05-07 £0.0685 0.05% EOD
2014-05-08 £0.053 0.04% EOD
2013-05-08 £0.045 0.04% EOD
2012-05-10 £0.045 0.06% EOD
2011-05-05 £0.045 0.04% EOD
2010-05-06 £0.041 0.05% EOD
2009-04-30 £0.035 0.05% EOD
2008-05-22 £0.055 0.05% EOD
2007-05-03 £0.038 0.02% EOD
2006-05-04 £0.02 0.01% EOD
2005-05-05 £0.0175 0.01% EOD
2004-05-06 £0.015 0.02% EOD
2003-04-30 £0.015 0.01% EOD
2002-06-13 £0.01337 0.01% EOD
2001-07-12 £0.01337 0.01% EOD
2000-07-13 £0.01114 0.01% EOD
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Historical Annual Dividends

ALV:XETRAAllianz
Year Amount Yield (at avg price) Avg. Stock Price Last Stock Price Yield (at last price) EPS Payout Ratio
2023 €11 5.26 % €217 €212 5.39 % €0.0 53 %
2022 €11 5.55 % €194 €201 5.38 % €0.0 103 %
2021 €9.6 4.69 % €205 €208 4.62 % €21 46 %
2020 €9.6 5.26 % €183 €201 4.78 % €16 59 %
2019 €9.0 4.38 % €205 €218 4.12 % €18 49 %
2018 €8.0 4.27 % €187 €175 4.57 % €17 48 %
2017 €7.6 4.25 % €179 €192 3.97 % €16 48 %
2016 €7.3 5.20 % €140 €157 4.65 % €15 49 %
2015 €6.9 4.55 % €151 €164 4.19 % €3.1 220 %
2014 €5.3 4.17 % €127 €137 3.86 % €14 39 %
2013 €4.5 3.93 % €115 €130 3.45 % €13 34 %
2012 €4.5 5.17 % €87 €105 4.29 % €9.7 46 %
2011 €4.5 5.15 % €87 €74 6.09 % €7.0 65 %
2010 €4.1 4.77 % €86 €89 4.61 % €11 38 %
2009 €3.5 4.82 % €73 €87 4.02 % €0.17 2020 %
2008 €5.5 5.20 % €106 €75 7.33 % €2.9 189 %
2007 €3.8 2.42 % €157 €148 2.57 % €19 20 %
2006 €2.0 1.53 % €131 €131 1.53 % €14 15 %
2005 €1.8 1.85 % €94 €94 1.85 % €8.7 20 %
2004 €1.5 1.72 % €87 €87 1.72 %
2003 €1.5 2.37 % €63 €63 2.37 %
2002 €1.3 0.63 % €213 €213 0.63 %
2001 €1.3 0.41 % €325 €325 0.41 % €6.2 21 %
2000 €1.1 0.30 % €369 €369 0.30 %
1999 €1.0 0.35 % €287 €287 0.35 %
1998 €0.87 0.26 % €331 €331 0.26 %
1997 €0.76 0.36 % €213 €213 0.36 %
1996 €0.72 0.05 % €1,380 €1,380 0.05 %
1995 €0.67 0.05 % €1,294 €1,294 0.05 %
1994 €0.64 0.06 % €1,089 €1,089 0.06 %
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0M6S:LSEAllianz
Year Amount Yield (at avg price) Avg. Stock Price Last Stock Price Yield (at last price) EPS Payout Ratio
2023 £11 5.25 % £217 £211 5.41 %
2022 £0.11 0.06 % £194 £202 0.05 %
2021 £0.10 0.05 % £205 £201 0.05 % 20.82 0 %
2020 £0.10 0.05 % £183 £203 0.05 % 16.22 1 %
2019 £0.1 0.04 % £205 £222 0.04 % 18.34 0 %
2018 £0.1 0.04 % £187 £172 0.05 % 16.65 0 %
2017 £0.08 0.04 % £179 £192 0.04 % 15.8 0 %
2016 £0.07 0.05 % £140 £156 0.05 % 4.08 2 %
2015 £0.069 0.05 % £151 £164 0.04 % 14.4718 0 %
2014 £0.05 0.04 % £127 £137 0.04 % 13.5865 0 %
2013 £0.05 0.04 % £115 £131 0.03 % 13.1115 0 %
2012 £0.05 0.05 % £87 £105 0.04 % 11.3188 0 %
2011 £0.05 0.05 % £86 £72 0.06 % 5.5105 1 %
2010 £0.04 0.05 % £82 £82 0.05 % 10.9807 0 %
2009 £0.04 0.06 % £63 £69 0.05 % 9.4811 0 %
2008 £0.06 0.05 % £105 £75 0.07 % -5.4821 -1 %
2007 £0.04 0.00 % £7,551 £147 0.03 % 17.7878 0 %
2006 £0.0 16.816 0 %
2005 £0.018 8.7352 0 %
2004 £0.02 0.02 % £88 £88 0.02 %
2003 £0.02
2002 £0.013 0.01 % £193 £193 0.01 %
2001 £0.013 4.97 0 %
2000 £0.011
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Stock Price Recovery History

ALV:XETRAStock Price Recovery History, Allianz
Ex-Dividend Date Payout Amount Stock Price Days for Stock Price to Recover
2023-05-05 €11.4 €215.95 3
2022-05-05 €10.8 €199.76 6
2021-05-06 €9.6 €212.7 1
2020-05-07 €9.6 €157 1
2019-05-09 €9 €198.82 1
2018-05-10 €8 €192.04 5
2017-05-04 €7.6 €173.85 1
2016-05-05 €7.3 €139.95 4
2015-05-07 €6.85 €147.65 1
2014-05-08 €5.3 €121.45 4
2013-05-08 €4.5 €117.5 6
2012-05-10 €4.5 €79.95 1
2011-05-05 €4.5 €100.45 1
2010-05-06 €4.1 €78.8 4
2009-04-30 €3.5 €69.74 4
2008-05-22 €5.5 €119.98 7
2007-05-03 €3.8 €163.11 1
2006-05-04 €2 €131.07 243
2005-05-05 €1.75 €94.41 364
2004-05-06 €1.5 €87.22 364
2003-04-30 €1.5 €63.35 372
2002-06-13 €1.33705 €213.05 6152
2001-07-12 €1.33705 €324.5 -
2000-07-13 €1.11421 €369.49 -
1999-07-08 €1.00264 €287.2 371
1998-07-09 €0.86592 €330.8058 735
1997-07-11 €0.76107 €212.6972 363
1996-10-08 €0.71631 €1,380.4869 -
1995-10-06 €0.67154 €1,293.567 368
1994-10-07 €0.64385 €1,089.0507 364
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0M6S:LSEStock Price Recovery History, Allianz
Ex-Dividend Date Payout Amount Stock Price Days for Stock Price to Recover
2023-05-05 €11.4 £215.325 -
2022-05-05 £0.108 £200.05 6
2021-05-06 £0.096 £212.275 1
2020-05-07 £0.096 £156.27 12
2019-05-09 £0.09 £198.735 1
2018-05-10 £0.08 £191.79 1
2017-05-04 £0.076 £169.2318 1
2016-05-05 £0.073 £142.275 20
2015-05-07 £0.0685 £147.65 1
2014-05-08 £0.053 £121.45 5
2013-05-08 £0.045 £115.7515 1
2012-05-10 £0.045 £78.9 1
2011-05-05 £0.045 £101.6 6
2010-05-06 £0.041 £81.95 284
2009-04-30 £0.035 £68.89 371
2008-05-22 £0.055 £120.34 1
2007-05-03 £0.038 - -
2006-05-04 £0.02 - -
2005-05-05 £0.0175 - -
2004-05-06 £0.015 £87.52 971
2003-04-30 £0.015 - -
2002-06-13 £0.01337 £193.2265 1664
2001-07-12 £0.01337 - -
2000-07-13 £0.01114 - -
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